Energy
One step ahead: Power price volatility in eastern Europe
Sponsored Q&A: Energy Risk Commodity Rankings 2017 | GEN-I
Statoil braces for increased oil volatility
Changing market dynamics increase importance of trading, says Norwegian oil firm
Treading the high wire: The biofuel demand growth balancing act
Sponsored Q&A: Energy Risk Commodity Rankings 2017 | Prima
Bolstering the biofuels market
Sponsored Q&A: Energy Risk Commodity Rankings 2017 | SCB
Political gaming casts energy further into age of disruption
With regulatory change in the air, market participants must be more aware of the situations those with legislative responsibility find themselves in
Emir reporting updates put energy firms on alert
New reporting regime marks start of increased scrutiny for big players
February seen as crunch time for the EU ETS
Carbon price could soar by 2020, but traders bearish short-term as EU votes on final package
Exposing the past: oil hedgers prepare for crude volatility
Historic crude price fluctuations make hedging critical. With prices falling across global markets, many exploration and production companies have assessed their risk and are calculating the best way to deal with it – internally and externally
Energy firms assess costs of cyber attacks
Analytics are considered key to cyber risk management
Energy CROs: cyber risk can only grow
Major cyber attacks on energy trading and infrastructure considered inevitable
Energy Risk commodity rankings 2017: a return to risk management
Committed dealers reap the benefits of increased interest in hedging and investing
Vote now in the Energy Risk software rankings 2017
Make sure your vote is counted in Energy Risk's annual ETRM software survey and rankings
What lies beneath: attention lessons for risk managers
Allowing seemingly irrelevant problems to fester can lead to catastrophe
Risk managers: beware conventional 'wisdom'
Why the consensus view so often fails to predict seismic shocks
European energy clearing stalls amid conflicting rules
Energy trading volumes continue to rise in 2016
US year-ahead oil hedging up 9% on 2015: study
Hedging revenue set to plummet in 2017
A pairs trading strategy based on switching-regime volatility for commodity futures
A pairs trading strategy can give a larger Sharpe ratio with respect to classical methods
‘Wrong type of liquidity’ spells trouble for energy hedges
Cyclical lull conceals structural shift as liquidity becomes shorter-dated and more flighty
Asia oil dealer of the year: BNP Paribas
French bank expands Asia client base amid oil rout
UK-based energy firms consider fleeing Brexit
Trading units exploring relocation to avoid “years of uncertainty”, says AFM official
Q&A: Dutch watchdog on the pitfalls of Mifid II
Catching the right energy firms – and leaving others untouched – has been tough, says Esma task force member
FCA ‘working in background’ on Mifid commodity limits rules
Regulator builds out reporting platform to monitor position limit breaches
Commodity volatility, skew and inverse leverage effect
Krzysztof Wolyniec on leverage effects and volatility in commodity markets
Carbon life force: derivatives defy coal's bleak future
Coal producers shorting volatility to collect premium, say traders