Enterprise risk
Are CROs engaged enough in IT decisions?
Technology is an ever-increasing part of the risk manager’s job, but the influence of the risk officer on decisions over ETRM systems can be disproportionately weak. Ned Molloy asks whether this is set to change
Trading positions - August 2011
Energy Risk catches up with the latest appointments, promotions and departures in global commodity markets
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
EC’s Capital Requirements Directive deemed “detrimental” to energy trading
The revised proposal for the Capital Requirements Directive (CRD) presented by the European Commission (EC) on July 20 has sparked serious concerns among energy companies, traders and exchanges
Russian oil at top of investment list: Franklin Templeton
Franklin Templeton’s Mark Mobius says Russia is his current emerging market of choice, in particular oil and resources companies, and suggests concerns over corporate governance are misplaced
Texas could face power shortages due to new EPA rule: ERCOT
Pollution rule could impact long-term ERCOT reliability and create additional costs as power plants devote resources to understanding the new system, ERCOT warns
Energy Risk – 2011 awards dinners - held in Houston & London
Energy Risk rewarded excellence at the recent rankings receptions held in Houston and London
Regulator strengthens enforcement authority
CFTC finalises new Dodd-Frank anti-manipulation rule but energy experts continue to question its value
Global economic ripple effect spreads to US power
Growing US coal exports and increased investor activity are linking traditionally domestic markets such as power to global economic events. Pauline McCallion finds out about this trend
Trading positions - July 2011
Energy Risk catches up with the latest appointments, promotions and departures in global commodity markets
Q&A – CFTC's Scott O'Malia
CFTC Commissioner Scott O’Malia shares his views with Ned Molloy on, amongst other things, systemic risk, position limits, the use of non-cash collateral and the jurisdictions of the CFTC and FERC
Approaches to strategic risk for energy risk managers
Pauline McCallion looks at the challenges the energy risk manager faces when dealing with strategic risk
Grasp of investor trends now a necessity
With investor money in commodities at record highs, understanding investor trends and their impact on the market is becoming ever more important, writes Rebecca Hampson
Assessing nuclear risk in the aftermath of Fukushima
Financial losses stemming from Japan’s Fukushima nuclear reactor accident will likely match or exceed losses at banks during the financial crisis. The ripple effect is already being felt by power generators worldwide. Stephen Maloney identifies the…
Commodities Trading and Investment Summit: conference highlights
China, oil prices and the impact of regulation were among the topics hotly debated at Energy Risk’s inaugural Commodities Trading and Investment Summit held in Geneva last month. Ned Molloy reports
Profile: Anthony Belchambers – CEO, FOA
Derivatives regulation needs to better recognise that sustainable economic growth is risk dependent, says Anthony Belchambers, chief executive of the Futures and Options Association. A disproportionate regulatory response with unrealistic goals will…
GFI Group, Inc.
GFI Group, Inc. is a leading provider of wholesale brokerage, clearing services, electronic execution and trading support products, providing services to institutional clients for a range of fixed income, equity, commodity and financial products
Constellation's Boultwood talks ERM and stress testing
Brenda Boultwood of Constellation Energy talks about her approach to Enterprise Risk Management and stress testing
CFTC position limits: GFI's Cosgrove
Michael Cosgrove of GFI Energy talks position limits, real-time reporting and collateral posting
Energy end-user hedging: BASF's Gonzalez
Alejandro Gonzalez, senior commodities risk manager at the chemicals giant BASF, spoke at Energy Risk USA 2011 in Houston about his approach to hedging in a volatile environment
Enterprise risk management: John Wengler
Energy companies are only starting to discover the value of risk management skills and taking an enterprise-wide risk approach, says John Wengler
Dodd-Frank ready? Structure's Huxtable
More than 75% of energy companies are in “wait-and-see” mode or still assessing how Dodd-Frank regulation will affect their business, according to The Structure Group's Leonard Huxtable
US carbon outlook: John Melby, GreenX
John Melby of Green Exchange (GreenX) discusses the current carbon market in the US, the potential for international links in the future and the emergence of other environmental markets such as water