Oil
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
Non-bank commodity traders should adopt Fed letter commitments, says BP executive
BP's Alan Haywood says non-banks need to consider Fed letter commitments for the good of the industry
Carbon tax here to stay: Alberta energy minister
Alberta, Canada, home to the world’s third largest oil reserves, will await further federal government moves before upping its own emissions limits or developing a carbon cap-and-trade scheme
Are Canadian oil sands setting a new crude oil floor price?
Setting a new floor price?
Commodity trading data leak relights speculation debate
Commodity trading data leak relights speculation debate
Shifting towards specialism will provide integrated oil companies with best returns says AT Kearney
Optimum shareholder value in the oil and gas sector is likely to come from a specialist approach rather than the traditional integrated oil company model, according to a recent report by management consulting firm AT Kearney
Cat product to transfer oil spill risk to capital markets
Catastrophe product looks to capitalise on perceived investor appetite for oil spill risk
US oil and gas M&A at $39 billion
Merger and acquisition (M&A) activity in the oil and gas sector registered a rise in average deal value, according to a PricewaterhouseCoopers (PwC) report
Managing oil and gas delivery risk
Time is money: mitigating delivery risk
The growing influence of Caspian crude
Forecasting crude oil correlation changes
Italian investors drawn to commodity baskets to hedge and diversify from bond exposure
Italian investors drawn to commodity baskets to hedge and diversify from bond exposure
Sean Corrigan talks emerging market risks
Diapason Commodities's Sean Corrigan discusses Chinese hard landings, Mena unrest, the role of Opec, quantitative easing and the likely market reactions to a Greek default
Jean-Marc Bonnefous talks China and QE2
Jean-Marc Bonnefous, managing partner, Tellurian Capital Management, talks Chinese growth scenarios, quantitative easing, and their impact on commodity markets
Falling oil prices and Greek crisis a boon to carbon traders
Carbon allowance trading hits all-time high in June as analysts downgrade predicted average ETS Phase 3 price to €22 per tonne