Oil
Energy Risk Deals of the Year 2012: Lloyds's financing for Essar
Lloyds’s $1.5bn secured borrowing base facility for Essar Energy
How relevant is VAR for energy markets?
How relevant is VAR for energy markets?
Refiners seek innovative tools for risk management
Old dogs, new tricks
Cutting edge: Valuation of spread commodity structures
Valuation of spread commodity structures in co-integrated futures markets
Downgrade termination costs
Downgrade termination costs
Refiners step up hedging activity
Refineries in Europe have stepped up their hedging activity in recent months as they take advantage of a recovery in margins, market participants say
Risk & Energy Risk – 2012 Commodity Rankings – energy
Hitting the top in turbulent times
Managing geopolitical risk in energy markets
Weighing up geopolitical risk
Analysts upbeat on outlook for Saudi Aramco’s new trading unit
Saudi Aramco’s new trading unit, Aramco Trading, could become a serious competitor in the refined product space and boost volumes at the Dubai Mercantile Exchange, say analysts
Keystone XL pipeline decision leaves Canada looking eastward
The US rejection of TransCanada’s proposed Keystone XL pipeline will hinder the development of the Alberta oil sands, while making the option of exporting crude to Asia more attractive for Canada, analysts say
Commodity and energy derivatives house of the year: JP Morgan
Risk awards 2012
2012: another year of living dangerously
2012: another year of living dangerously
Sponsored forum: US inflation derivatives
Encouraging growth in the US inflation derivatives market
Energy experts debate merits of speculators and position limits
CFTC and Goldman Sachs executives discuss role of speculators in commodities markets during times of volatility
Jet fuel demand seen picking up
Aviation fuel demand: taking off?
Acer to issue guidelines to clarify Remit definition problems, says Pototschnig
The head of the Agency for the Cooperation of Energy Regulators says new non-binding guidance will appear shortly after the Remit regulation is published in the EU's official journal
Energy Risk Europe: eurozone sovereign debt fears could exacerbate oil supply problems, says Currie
Fears that the sovereign debt crisis will lead to global financial shock is causing oil producers to reduce inventory and cut back investment – creating a potential supply problem in future, warns Goldman Sachs commodities research head
Culture and checklists: Maersk's op risk management
Safe sailing
Energy Risk Asia Awards 2011
Energy Risk's Asia awards 2011
Oil price outlook
At the crossroads
The rise of sovereign commodity risk management
Sovereign commodity risk management