Gas
Turning points: First Utility’s Ian McCaig
First Utility’s Ian McCaig talks to Jay Maroo about the diverse career that led to his recent appointment as chief executive and his passion about changing energy buying habits in the UK
Energy Risk Deals of the Year 2012: SG CIB's Russian gas field financing
Société Générale Corporate & Investment Banking arrange €1.1bn financing for gas field in northern Russia
Energy Risk Deals of the Year 2012: BarCap's VPP deal with Chesapeake
Barclays Capital pioneers new volumetric payment deal with Chesapeake that allows more investors to take part
How relevant is VAR for energy markets?
Despite its many limitations, value-at-risk (VAR) is still the most commonly used risk profile measuring tool in the energy industry. In this first article in a new series, Chris Strickland discusses why the energy industry’s love affair with VAR could…
Risk & Energy Risk – 2012 Commodity Rankings – energy
After a rollercoaster year in the markets, Morgan Stanley seized the top spot in the 2012 Risk and Energy Risk Commodity Rankings, while its traditional rival, Goldman Sachs, slipped to number two. Alexander Osipovich reports. With additional reporting…
Is European shale a game-changer for the gas markets?
While shale gas has been a game-changer in the US markets, its impact has been more muted in Europe, with environmental concerns preventing fracking in several countries. Jay Maroo looks at the future of shale gas in Europe and asks how big an impact…
Managing geopolitical risk in energy markets
The increasing influence of geopolitical risk on energy markets is forcing risk managers to reassess their risk management strategies around such event-type risk, finds Gillian Carr
Regulation a concern for CEE power and gas traders
Regulation, market coupling and the drawback of import/export tariffs were some of the most pressing issues discussed at Energy Risk’s central and eastern Europe conference last month. Gillian Carr reports
Turning points: Joseph Pokalsky
Pauline McCallion speaks to energy trading veteran Joseph Pokalsky about the early days of Enron, picking up the pieces in the energy sector after its collapse and new challenges facing the energy sector today
Ten years after its collapse, Enron lives on in energy markets
There is no doubt that the influence of Enron lives on in today’s energy markets. Energy Risk talks to ex-Enronites about how the company achieved what it did and what lessons it can still teach us today
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 Asia Awards 2011
Energy Risk's Asia awards 2011
Impact of German nuclear phase-out on European energy markets
Germany’s decision to phase out nuclear power by 2022 could have wide-ranging implications for European power and gas markets, especially in the short term
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
For producers and suppliers of oil and gas, the standard industry practice of waiting up to two months for payment represents significant credit risk. Brian Shydlo offers some solutions for measuring and mitigating this delivery risk
US power bodies call for clarity on Dodd-Frank “swap” definition
More guidance is needed from the CFTC on the definition of a swap, according to Ferc and other industry associations concerned about regulatory overlap
US energy speculation investigation begins anew
The latest effort by the US government to investigate the impact of speculation on oil prices has been met with cynicism by market participants. Pauline McCallion reports
Are the days of oil/gas indexation numbered?
Will the unprecedented dislocation between oil and gas prices – forecast to last some time – finally mean a transition away from oil indexation for pricing gas contracts, and is the gas market mature enough to produce accurate price indicators? Ned…
Q&A: Marina Surzhenko, head of LNG export directorate at Gazprom Export
In this exclusive interview with Energy Risk, Gazprom sets out its views on the future of the gas markets in Asia and Europe, the rise of LNG and its recent deals with China. Alex Davis talks with Gazprom Export’s Marina Surzhenko and to the Gazprom…
Q&A: Derren Geiger, chief operating officer of Caritas Royalty Funds
Derren Geiger, chief operating officer of the energy-focused Caritas Royalty Funds, speaks to Pauline McCallion about managing risks in a rising oil and gas price environment
E.ON Energy Trading
As a market leader, E.ON Energy Trading optimises and manages commodity risk for Europe’s broadest and most diverse power and gas asset base, and is committed to supporting the development of more open, competitive energy markets
Q&A: Kaha Kiknavelidze, managing partner at hedge fund Rioni Capital
With the oil & gas industry going through major changes from pricing to regulation, Lianna Brinded talks to Kaha Kiknavelidze of Rioni Capital about oil & gas opportunities