Energy

Risking it in Russia

When attempting to assess energy risk in Russia today, traditional methods of risk analysis are no longer sufficient; they mustbe accompanied by detailed political risk analysis, writes Robert Amsterdam

Hedge fund technologies

Energy markets continue to attract hedge funds - but, as recent high profile losses have shown, operating in them is challenging. Having the right trading and risk management IT is essential. Stewart Eisenhart reports

Risk management for LDCs

US Gas Distribution Companies, long experienced in managing volumetric risk, now face market risk, high commodity prices and credit risk. Matthew Frye looks at strategies to model these risks in aggregate

Catching the wind

After a 20-year hiatus, the US wind power industry has grown rapidly in the past two years. Its future, however, depends on Congress drawing up clear, long-term legislation, finds Neil O'Hara

The EDS dustbin

As the market talks up CDS of ABS and loan CDS as the next big things, StreetCred warns readers not to forget the fate of equity default swaps

Back to basics

We take you back to the credit basics to review everything you thought you already knew but were too afraid to ask... Christopher Davenport of Citigroup's convertible bonds group in London explains the basics of convertible bonds

Winner: Surf

In our monthly roundup of innovative deals in the credit markets, we highlight ABN Amro's groundbreaking Surf deal, Calyon's Confluent CLO and Landsbanki's dollar issue

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