Oil
Best commodity research, Asia: Refinitiv
Energy Risk Asia awards, 2018: Shining a light into China’s opaque oil imports provides clients with valuable insight
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
Hedging figures show doubt over US crude export plans
The recent oil price rally is widely expected to subside later in 2019 as improved infrastructure allows US exports to relieve the pressure in tightened global markets, but hedging data reveals that producers are sceptical
Newman: why commodities will stay OTC
As he retires, Icap Energy founder on his acid test for picking emerging markets, and the promise of LNG derivatives
Energy transition: adapting to the unknown
Uncertainty surrounds the oil industry at every step in the transition to a more diversified energy market, energy experts write
Deal of the year: Engie
Energy Risk Awards 2018: By targeting smaller players in mature basins, Engie creates a structure ripe for replication
How energy players are reaching the limits of hedging
Commodities firms face lasting changes in 2018
Oil hedging rally slows amid backwardation
Recent hedging enthusiasm wanes as shale producers turn to 2019 and 2020 production
China oil future approved, March start targeted, says source
International banks see healthy interest from overseas clients
Energy Risk Asia Awards 2017: The winners
Societe Generale takes finance house and research gongs; Citi picks up derivatives award
Oil & products house of the year: Engie Global Markets
Energy Risk Awards 2017: Global energy firm's trading arm steps up crude activities
Stability ahead? Oil prices to tighten as expectations wane
Forecast suggests drop in crude volatility in months ahead
M&A activity surges for well-hedged shale operators
Deal volumes in the US shale sector have soared as operators slash costs and hedge against increasing fears of falling oil prices
Opec learns to love hedge funds
Net long position weakens after cartel announces change in attitude to price drivers
The hazards of toothless transparency requirements
Giving management the freedom to do what it wants may not improve the energy industry's reputation
Statoil braces for increased oil volatility
Changing market dynamics increase importance of trading, says Norwegian oil firm
Exposing the past: oil hedgers prepare for crude volatility
Historic crude price fluctuations make hedging critical. With prices falling across global markets, many exploration and production companies have assessed their risk and are calculating the best way to deal with it – internally and externally
US year-ahead oil hedging up 9% on 2015: study
Hedging revenue set to plummet in 2017
Energy hedging is down but not out
Market conditions will change, bringing liquidity back
Asia oil dealer of the year: BNP Paribas
French bank expands Asia client base amid oil rout