Oil
Oil to reach over $150/bbl in 12-18 months
A prominent hedge fund manager says oil price will break through historic highs within the next 12-18 months
CNOOC and Chesapeake announce second shale deal
Chinese E&P company CNOOC has announced a $1.3 billion deal to purchase a 33.3% stake in some of US producer Chesapeake's shale assets
Reshaping Russia and China’s energy alliance
The growing strategic energy alliance between Russia and China could change global energy market dynamics. Alex Davis examines the possibilities, including an end to oil-indexed gas pricing
Renminbi liberalisation opens doors to investment
Renminbi liberalisation could enhance risk management capabilities in the Asia-Pacific energy and commodities markets, writes Lianna Brinded
Energy Risk Commodity Rankings 2011: Commodities
Some commodity markets saw a significant drop in volatility in 2010, with prices trading in a tight range. In contrast, there are some notable changes in this year’s Risk and Energy Risk commodity rankings, with some new faces making it into the survey
Energy players expect further market fragmentation
Energy market fragmentation is likely to continue as larger players scale back their activities under Dodd-Frank
Operational risk to reduce Iraqi oil supply and exports
Iraq, one of the world’s largest locations with proven oil reserves, will not be able to hit governmental production targets due to the level of operational risk, say experts
Obama: 80% US power from clean sources by 2035
US President promises push for clean energy at expense of oil and singular focus on renewables
Credit Suisse global head of commodities leaves
Adam Knight, global head of commodities has left Credit Suisse, confirms source
GS: Opportunities from commodities emerging markets constraints
Goldman Sachs says investors should get exposure to crude oil, and put a $105 per barrel price target on it, as one of the supply-constrained commodities China most needs, David Walker reports.
US oil spill report recommends risk management changes
Presidential commission suggests reforms to address oil sector risk management after BP Gulf of Mexico spill investigation
Energy investment delays raise operational risks
After infrastructure investment in the energy and commodities industry dropped to record lows following the credit crunch, Lianna Brinded takes a look at whether the new uptick in spending is too little, too late for staving off operational risk
US E&P to shift from gas to liquids in 2011
Liquids-rich plays attract attention as the low natural gas price outlook continues
Colombia: Opening a new chapter
Strides taken by two consecutive governments to address security risks and promote a pro-business stance have done much to boost Colombia’s oil and gas sector. Pauline McCallion reports on new opportunities in the market
Oil hedging strategies revised after Irish bail-out
Oil hedging strategies are being revised after Irish bail-out pushes up oil prices. Lianna Brinded investigates whethere recent oil price spikes will be sustainable over the long term
Malaysian Airlines cuts hedging programme
Malaysian Airlines (MAS) reduced its jet fuel hedging capacity amid uncertain price movements
CME’s CCP to clear Middle East products and reduce 'black swans'
Clearport courts emerging market derivative exchange products in a bid to reduce systemic risk in commodity markets
Irish bailout forces oil hedging strategies revision
Oil hedging strategies to be revised after Irish bailout pushes up oil prices
IEA slashes Gulf of Mexico supply forecasts
Repercussions from the BP oil spill force the International Energy Agency (IEA) to slash supply forecasts.
Oil market recovery hinges on China
Oil market recovery will rest mainly on China for the next 15 years, says the International Energy Agency (IEA)
Sponsored Q&A: Standard Bank
With African roots and a presence in 17 African countries and 33 countries worldwide, Standard Bank has been working with commodities clients since 1994. In 2006, the bank hired Janelle Matharoo as managing director, global head of energy sales & trading…
London conference report
Energy risk managers met in London in October for Energy Risk’s Europe 2010 conference to discuss the latest developments and prospects for the energy and commodities markets as the economic recovery takes root amid sweeping regulatory changes. Katie…