Gas
Energy Risk at 30: Learning from the past
Energy Risk looks back at the seminal events and developments that have shaped today’s energy markets
Energy Risk Awards 2020: The winners
Key wins for BP, Engie and Uniper while Macquarie takes the derivatives house of the year award
Calls to hike climate policy raise risk for oil firms
A ramp-up in policy could place more oil and gas assets under threat of stranding
Finding potential in a volatile commodities market
Macquarie is uniquely positioned to offer clients a range of products, expertise and experience across the commodities space. Nick O’Kane discusses the bank’s approach to commodity markets and what he expects next
US-China trade war becomes focus again for commodities
As the end of the 90-day truce in US-China trade hostilities looms, commodity markets brace for uncertainty
Derivatives house of the year, Asia: BNP Paribas
Energy Risk Asia awards, 2018: BNP Paribas continues to boost its presence in Asian commodities with a focus on bespoke solutions
Energy Risk Asia Awards 2018: The winners
BNP Paribas takes Derivatives house, BP wins Oil & products and BOCI and Engie scoop two awards each
Short term, LNG view
Excitement over fast-growing LNG markets shouldn't blind us to the potential risks
Gas traders fear US winter price spike
Shale’s ability to step up production rapidly is being relied upon to shore-up under-supply, but low prices may limit production delivery until a shortage occurs
Deal of the year: Engie
Energy Risk Awards 2018: By targeting smaller players in mature basins, Engie creates a structure ripe for replication
The changing face of European power trading
Large pools of data, an abundance of cheap and powerful computing capacity, the rise of renewables, and the development of the smart grid are having a significant impact on European power and gas trading. New and interesting developments continue to…
Shale, pipelines and hubs: turmoil ahead for US gas hedging
Recent changes in US natural gas markets are shifting long-standing correlations and impacting the functionality of hedging instruments, say analysts
Esma reviews gas and power spot month definition
Definition key to setting EU position limits
Commodity research house of the year: Natixis
Energy Risk Awards 2017: Forecasting accuracy sets French bank apart in oil and gas analytics
Uniper’s Khan on risk transformation and green energy
As energy markets change risk management should be at the heart of business strategy, says Novera Khan
Who wants to be a forecaster?
Forecasting gas storage levels is an ugly, thankless – but essential – task
Nodal plans power, gas options
Contracts to launch in 2017, while sceptics question ability of a new exchange to compete with incumbents
US year-ahead oil hedging up 9% on 2015: study
Hedging revenue set to plummet in 2017
Exchanges, energy brokers jostle for position ahead of Mifid II
EEX foray into non-MTF platforms sparks outcry from brokers
Spot market for Asian LNG gaining momentum, traders say
Changing market fundamentals are expected to transform the way LNG is traded in Asia in the next several years, fuelling the emergence of a regional spot index and derivatives market
Centrica CRO keeps watchful eye on new regulation
Managing all Centrica's financial risk is a challenging task, and one that is made increasingly complicated by regulation, chief risk officer Olivier Herbelot tells Mark Pengelly