Energy
Sponsored video: Bethanie Castelnuovo, SCB
Bethanie Castelnuovo, chief financial officer at SCB, gives her reaction to SCB’s wins at the Energy Risk Commodity Rankings 2018 and her thoughts on the organisation's business outlook.
Don’t wait for freight: suppliers look to boost demand
Growing interest in shipping derivatives means FFA market needs to change
Watch out for commodity vol products
Commodity traders shouldn't ignore the recent meltdown in CBOE’s Vix derivatives, writes energy consultant
Chinese oil future could be first of many in Asia
Traders optimistic over long-term prospects for INE RMB crude future
Risk transformation of a zero-subsidy wind portfolio
Joaquin Narro analyses the hedging of a hypothetical zero-subsidy wind portfolio with base load products in the futures markets
The renewable future
The shift to solar and wind is creating new challenges
German power firm faces elevated op risks in Russia
OpRisk North America: clusters of risks cause problems for Uniper
Power traders slam Spain’s mooted plant closure rules
Tougher closure criteria would distort power prices and harm functioning of the market, say traders
Ensuring reliability in a rapidly changing energy landscape
Igor Koprivnikar, member of the management board at Gen-i, discusses what sets the organisation apart as the top power dealer in eastern Europe, the benefits that a global portfolio can bring for clients in regional European markets, and how strong…
European renewables turn to corporates as states retreat
Can corporate PPAs help smooth European power market transformation?
Navigating the new energy market dynamics
Utilities need to adapt to compete in the “new normal” environment of renewable energy supply
Shale, pipelines and hubs: turmoil ahead for US gas hedging
Regional market correlations in flux amid structural change
Speculators flock back into the EU carbon market
EU reforms trigger carbon rally set to last through 2018
Singapore’s banks frontload IFRS 9 provisioning hit
UOB, OCBC announce $1.4 billion set-asides in Q4 results to account for oil and gas loan exposures
Dollar cost averaging won't work for energy hedging
Long periods of losses make strategy impractical, says energy consultant
BAML hires new US head, Ice names model risk head, and more
Latest job changes across the industry
How energy players are reaching the limits of hedging
Commodities firms face lasting changes in 2018
Utilities turn to big data to improve pricing models
Smart meters and time-of-use rates could dampen power market volatility and improve hedging
Banks begin to model climate risk in loan portfolios
Environmental stress tests and scenario analysis reveal hidden risks
Trade surveillance shouldn’t deter traders
Monitoring costs are forcing commodity players away from market participation, say consultants
China oil future approved, March start targeted, says source
International banks see healthy interest from overseas clients
People: Shell’s Quartermain replaces Muller
Other moves at Morgan Stanley, Gunvor, Macquarie and others
Achieving business agility through CTRM systems
Webinar: Openlink
OTF uncertainty adds to Mifid II guesswork
Commodity firms need clarity on new type of venues to adjust to imminent rules