Crude oil
Iron ore: China forges ahead with internationalisation
China’s iron ore market opens up, despite weak start for crude futures
BP net derivative assets top $1.5 billion
Hedging instruments fair values rise while oil prices surge
ETFs may shift oil price but not stockpiles
Inelastic oil market moved easily by speculation, finds macroeconomist
Don’t wait for freight: suppliers look to boost demand
Growing interest in shipping derivatives means FFA market needs to change
Chinese oil future could be first of many in Asia
Traders optimistic over long-term prospects for INE RMB crude future
Dollar cost averaging won't work for energy hedging
Long periods of losses make strategy impractical, says energy consultant
The impact of unconventional monetary policy shocks on the crude oil futures market
This paper examines how West Texas Intermediate (WTI) crude oil price returns and volatilities respond to changes in US monetary policy.
Oil hedging rally slows amid backwardation
Producers pause to see if prompt price rally rolls along the curve
China oil future approved, March start targeted, says source
International banks see healthy interest from overseas clients
Oil & products house of the year, Asia: BOCI
Energy Risk Asia Awards, 2017: Established client base and strong product offering give Chinese bank edge in domestic oil markets
Top 10 energy risks and challenges
Regulation and changing market dynamics among threats to energy in year ahead
Stability ahead? Oil prices to tighten as expectations wane
Forecast suggests drop in crude volatility in months ahead
M&A activity surges for well-hedged shale operators
Deal volumes in US shale sector soar as operators slash costs and hedge against falling oil prices
Trump-Putin dialogue tipped to contain energy focus
Former Russian oil minister predicts meeting, but White House has no announcements “at this time”
Opec learns to love hedge funds
Net long position weakens after cartel announces change in attitude to price drivers
What financialisation means for oil: Ilia Bouchouev of Koch
Investor demand now drives oil prices as much as physical fundamentals
INE oil future to launch ‘as soon as possible’ – CSRC
China's first oil future is still on the cards, but its viability as a new benchmark is far from certain
Brent evolves to retain lustre
Introduction of Troll marks attempt to keep Brent as benchmark of choice
US year-ahead oil hedging up 9% on 2015: study
Hedging revenue set to plummet in 2017
‘Wrong type of liquidity’ spells trouble for energy hedges
Cyclical lull conceals structural shift as liquidity becomes shorter-dated and more flighty
On the role of structural breaks in identifying the dynamic conditional linkages between stock and commodity markets
In this paper, the authors explore the time-varying linkages between two strategic commodities covering the energy sector (crude oil and natural gas) and the QE Al Rayan Islamic Index over the period March 15, 2011–December 25, 2014.
Big losses force banks to rethink energy lending
Unfunded loans and exposures to suppliers worry credit risk managers
Energy firms fear liquidity void if US capital proposals hit banks
Trades ‘wouldn’t be anywhere near making sense’ for banks
The determinants of regime switching in the natural gas and crude oil cointegrating relationship
This paper aims to find determinants of the endogenous regime-switching process underlying the cointegrating relationship between natural gas and crude oil.