Commodity Derivatives
75 white papers and resources
Commodity Derivatives
Shipping freight derivatives - theory and practice
As an inherently volatile industry, shipping is characterised by a high risk-high return profile, making its rates and prices difficult to forecast, and as a consequence business projects less accurately budgeted. The identification and management of any such business risks is imperative.
Market change – slow but certain
As the European Union’s (EU's) Carbon Market Initiative nears implementation of Phase III, Navita Systems’ Anette Nordskog discusses the recent developments in the carbon market, along with the practical and technological challenges it faces.
Hedging commodity exposure
Speaking at Energy Risk Asia, BNP Paribas’ head of Commodity Derivatives for Asia Pacific, Frederic Hervouet, discussed hedging strategies, products and commodity exposure at mining and resource companies.
Building on lessons learned
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, to help grow the business. He talks to…
Regulation & ETRM solutions
New financial regulation poses fresh challenges to companies’ financial technology and systems. In a Q&A sponsored by Sapient Global Markets, Energy Risk discusses with experts how they can respond and what will be the impact on market developments.