Policy risk
Special report – Weighing up Dodd-Frank
What will impending regulation under the Dodd-Frank Act mean for the energy sector? Our US editor, Pauline McCallion puts the question to leading industry participants
Sponsored Q&A: SunGard
Organisations are preparing for the implementation of the Dodd–Frank Wall Street Reform and Consumer Protection Act regulations. Senior executive vice president at SunGard Energy & Commodities, Ben Jackson, explains how to pave the way and avoid getting…
Oil and oil products markets buffeted by tsunami
Oil prices have fluctuated in the wake of the political upheavals in the Middle East and the tsunami disaster in Japan. Ned Molloy reports on the latest market developments
Time runs out for position limits comments
CFTC’s latest position limits plan attracts thousands of comments; opinion deeply divided; new commissioner to affect final vote
Further uncertainty for US carbon trading
Californian carbon cap-and-trade scheme suffers legal set-back on road to 2012 start date
Gas groups rethink regulatory issues
Global co-ordination needed between gas regulators and operators; international group to report on infrastructure and environment in 2012
Ex-CFTC enforcement head: Dodd-Frank anti-manipulation standard unclear
Anti-manipulation proposal could be challenged if made law; former CFTC enforcement director calls for clear standard based on precedent
Experts discuss need for commodity speculation
Squeezing out speculative capital will affect commodity market liquidity, regulator must engage with market to prevent unintended consequences
Q&A: Craig Donohue, Chief Executive Officer, CME Group
As energy and commodities markets attempt to adapt to a raft of regulation changes from 2010 and lack of liquidity from 2009, Lianna Brinded speaks to the CME Group’s CEO about how risk appetite and derivative trading trends are shifting
Iraq oil: promises and challenges
Despite Iraq being tipped as the next new hub for European oil supply security, the country has faced a series of infrastructural setbacks. Lianna Brinded investigates how much progress has been made and whether the high level of risks is holding back…
Energy Risk Software Rankings 2011
Sandwiched between a global recession and fast-approaching and intense regulatory change, energy companies increased their ETRM spend last year and plan to do the same in 2011. Pauline McCallion reports on Energy Risk’s latest software survey and rankings
Data consolidation and regulatory reporting for energy firms
In their second article on data governance, Rakesh Singh and Prashanth VV set out the reporting options available to energy firms to manage growing volumes of data and demands for more information from regulators
Testing times for biofuels
Are biofuels still considered a viable and ecofriendly alternative to oil or has media criticism blighted their once bright future? Katie Holliday talks to industry experts about the future for both first- and second-generation biofuels
EC tightening of carbon spot market could threaten forward market
Industry experts are wary of European Commission proposals intended to bring additional safeguards to the spot market
US: States rethink carbon trading scheme
New Hampshire House votes to leave RGGI, New Jersey could follow; change in states’ attitudes to cap-and-trade “not surprising”
Middle East protests spread to major oil-producing countries
Brent crude reaches its highest price since September 2008
Concerns over Egypt & inflation push oil derivatives trading volumes to record levels
Oil prices will continue to rise to triple-digit highs over 2011 on long-term Egypt risk premiums and continual unrelated underlying issues, say market experts
BarCap advises carbon market to use UK registries
Barclays Capital advises clients to stick to the UK in light of recent EUA thefts across European registries
EU to examine commodity derivatives/physical market link
Following sustained calls from EU members to curb commodity derivative markets, the EU will research the link between derivative and physical markets
Uncertainties cloud CDM market
Asia is a primary source of offset credits for European compliance buyers, but increased risks associated with the CDM market in the region are forcing risk managers to re-examine their portfolio strategies accordingly, as Katie Holliday reports
US Gulf of Mexico report points to long-term impact for industry
As the regulatory restructuring continues for US offshore drilling, Pauline McCallion looks at the potential implications of the Presidential Commission’s final report on the BP Horizon Spill