Gas
Energy Risk Commodity Rankings 2011: Commodities
And the winner is...
Obama: 80% US power from clean sources by 2035
US President promises push for clean energy at expense of oil and singular focus on renewables
US oil spill report recommends risk management changes
Presidential commission suggests reforms to address oil sector risk management after BP Gulf of Mexico spill investigation
Societe Generale to acquire RBS Sempra gas and power assets
Société Générale agrees to buy North American power and natural gas assets from RBS Sempra Commodities
Q&A: Marc Fontaine, head of commodity derivatives, Americas at BNP Paribas
Training for growth
Which way for Europe’s gas storage markets?
Beyond the curve
Energy investment delays raise operational risks
Bridging the gap
National Grid: No gas supply emergency
UK’s National Grid reassures the market that there is no gas supply emergency despite gas demand soaring
Model specification analysis in the methanol markets
Research Papers
Colombia: Opening a new chapter
A new chapter
Regulators focus on physical and financial market links
Regulators focus on physical and financial market links
Overcoming power hedging constraints
Power plays
Resource investments prove popular but remain relatively risky
Royal Bank of Canada is the only player in the issuance with its reverse convertibles, a handful of which are based on natural resources.
Energy giants: IOC, NOC tie-ups mean better risk management
International oil companies (IOC) and national oil companies (NOC) need to contractually work more together to enhance energy risk management, say energy chiefs
US legislators try new tack for energy bill
RES bill should boost renewable energy development and RECs trading but is unlikely to pass this year
Gazprom: European gas secure despite Belarus dispute
Gazprom quells market fears over a future European gas shortage by confirming its “readiness” to ensure additional gas deliveries to Europe in the event of Belarus shutting off Gazprom’s main gas transit system through the country
Markit moves into commodities valuation
Markit, the giant independent financial information services firm, will bring energy and commodities risk managers closer to assessing real market risk with its launch of a commodities derivatives valuation service that is set to create more transparency…
Long-term concerns over Gazprom dispute with Belarus
Market participants warn of possible long-term European gas import concerns, after Gazprom slashes gas supplies to Belarus over a debt payment dispute, echoing the European gas import crisis of 2009
Exclusive video: Power companies to be hit by US financial reforms
Senate financial reform bill could leave power companies facing major collateral problems
Exclusive Credit Suisse video: energy price outlooks
Crude oil prices will stay range-bound over the next three years, due to substantial Organization of the Petroleum Exporting Countries (OPEC) spare capacity, growing global demand and significant financial flows, says Credit Suisse’s head of global…
Exclusive Kaminski Video: energy risk management challenges
The energy markets still face an unprecedented level of regulatory risk over the next year, as impending changes to the US financial system loom, while at the same time, BP’s Gulf of Mexico oil spill has presented major operational risk factors for the…
Special regulation report from Houston
With the US set to unveil the largest set of financial regulation reforms of the past 30 years, Lianna Brinded reports from Houston, Texas, on how these changes will effect the energy and commodities industry.
US power generation: will gas snatch market share from coal?
As the US takes further steps towards developing a low-carbon economy, Pauline McCallion examines the potential implications for power generation and whether gas is set to gain significant market share from coal