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Best managing energy price risk

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Managing Energy Price Risk (4th edition) Managing Energy Price Risk (4th edition) Go to amazon.com
Managing Energy Price Risk: The New Challenges and Solutions, Third Edition Managing Energy Price Risk: The New Challenges and Solutions, Third Edition Go to amazon.com
Managing Energy Price Risk Managing Energy Price Risk Go to amazon.com
Managing Energy Price Risk: Third Edition Managing Energy Price Risk: Third Edition Go to amazon.com
Energy Finance and Economics: Analysis and Valuation, Risk Management, and the Future of Energy Energy Finance and Economics: Analysis and Valuation, Risk Management, and the Future of Energy Go to amazon.com
Managing Energy Price Risk 2nd Edition Managing Energy Price Risk 2nd Edition Go to amazon.com
The Price Reporters The Price Reporters Go to amazon.com
Energy Risk: Valuing and Managing Energy Derivatives Energy Risk: Valuing and Managing Energy Derivatives Go to amazon.com
Managing Energy Risk: A Nontechnical Guide to Markets and Trading Managing Energy Risk: A Nontechnical Guide to Markets and Trading Go to amazon.com
Energy Risk: Valuing and Managing Energy Derivatives Energy Risk: Valuing and Managing Energy Derivatives Go to amazon.com
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1. Managing Energy Price Risk (4th edition)

Description

Industry leader Vincent Kaminski presents this significantly revised and updated edition of the best-selling Managing Energy Price Risk. This multi-contributor book helps risk managers and senior executives involved in the energy business gain a sophisticated perspective on all the latest techniques and developments in risk management and pricing.

2. Managing Energy Price Risk: The New Challenges and Solutions, Third Edition

Description

The definitive third edition of the best-selling multi-author reference source on global energy and power markets. Fully revised, updated and extended to incorporate current market realities and theory enabling practitioners to effectively measure, structure, hedge and manage risk in today's energy related transactions.

Provides a complete review of the current state of the energy markets, with insights into how leading practitioners, academics and regulators are now tackling the issues and developments.

All the main energy areas including natural gas, oil, coal and electricity as well as related markets such as emissions are covered within five easily accessible sub sections, each introduced by Vincent Kaminski that help correlate the entire book -

Energy Instruments Developments in Energy Markets Risk Measurement and Reporting Tools for Risk Analysis Real Options

Relates quantitative issues to both the needs of today's corporations and to the reality of current market practice. Explains technical terms and concepts using worked examples and real life market insights.

Largely re-written to incorporate developments over the last four years, this third edition now includes additional new chapters that cover the management of retail energy markets, gas storage, the emissions market, international coal markets and the issue of financial style hedging and risk management of assets that are subject to physical risk amongst others.

Brings together contributions and insight from some of the world's most respected practitioners, academics and regulators to reflect the current state of price risk management in the energy industry.

A near complete compendium of knowledge designed to enable risk managers and senior executives make more informed decisions as well as identifying some key unanswered questions to help direct future research on the subject matter.

3. Managing Energy Price Risk

4. Managing Energy Price Risk: Third Edition

Feature

Risk Books

Description

The definitive third edition of the best-selling multi-author reference source on global energy and power markets - fully revised, updated and extended to incorporate current market realities and theory enabling practitioners to effectively measure, structure, hedge and manage risk in todays energy related transactions. Provides a complete review of the current state of the energy markets, with insights into how leading practitioners, academics and regulators are now tackling the issues and developments. All the main energy areas including natural gas, oil, coal and electricity as well as related markets such as emissions are covered within five easily accessible sub sections, each introduced by Vincent Kaminski to help correlate the entire book: - Energy Instruments - Developments in Energy Markets - Risk Measurement and Reporting - Tools for Risk Analysis - Real Options Relates quantitative issues to both the needs of today s corporations and to the reality of current market practice. Explains technical terms and concepts using worked examples and real life market insights. Largely re-written, this third edition now includes additional new chapters that cover the management of retail energy markets, gas storage, the emissions market, international coal markets and the issue of financial style hedging and risk management of assets that are subject to physical risk amongst others. Brings together contributions and insight from some of the world s most respected practitioners, academics and regulators to reflect the current state of price risk management in the energy industry. A near complete compendium of knowledge designed to enable risk managers and senior executives make more informed decisions as well as identifying some key unanswered questions to help direct future research on the subject matter.

5. Energy Finance and Economics: Analysis and Valuation, Risk Management, and the Future of Energy

Description

Thought leaders and experts offer the most current information and insights into energy finance

Energy Finance and Economics offers the most up-to-date information and compelling insights into the finance and economics of energy. With contributions from today's thought leaders who are experts in various areas of energy finance and economics, the book provides an overview of the energy industry and addresses issues concerning energy finance and economics.

The book focuses on a range of topics including corporate finance relevant to the oil and gas industry as well as addressing issues of unconventional, renewable, and alternative energy.

  • A timely compendium of information and insights centering on topics related to energy finance
  • Written by Betty and Russell Simkins, two experts on the topic of the economics of energy
  • Covers special issues related to energy finance such as hybrid cars, energy hedging, and other timely topics

In one handy resource, the editors have collected the best-thinking on energy finance.

6. Managing Energy Price Risk 2nd Edition

Feature

Used Book in Good Condition

Description

* Fully revised and extended to help you gain a perspective on all the latest techniques and developments in energy risk management * Seven NEW chapters written by a team of experienced market practitioners * New contextualising introductions by one of the world's most respected practitioners, Vincent Kaminski of Enron * Relates quantitative issues to the needs of corporations and to the reality of market practice * Explains technical terms and concepts using detailed worked examples and real-life market insights

7. The Price Reporters

Description

Every consumer in a modern economy is indirectly exposed to the work of a price reporting agency (PRA) each time they fill up their car, take a flight or switch on a light, and yet the general public is completely unaware of the existence of PRAs. Firms like Platts, Argus and ICIS, which are referenced every day by commodity traders and which influence billions of dollars of trade, are totally unfamiliar to consumers.

The Price Reporters: A Guide to PRAs and Commodity Benchmarks brings the mysterious world of price reporting out of the shadows for the first time, providing a comprehensive guide to the agencies that set the worlds commodity prices. This book explains the importance of PRAs to the global commodities industry, highlighting why PRAs affect every consumer around the world. It introduces the individual PRAs, their history and the current state of play in the industry, and also presents the challenges that the PRA industry is facing now and in the future, in particular how regulation might impact on the PRAs, their relationships with commodity exchanges, and their likely direction.

This is the first-ever guide to PRAs and is destined to become the standard reference work for anyone with an interest in commodity prices and the firms that set them.

8. Energy Risk: Valuing and Managing Energy Derivatives

Description

The Latest Methods and Strategies for Successfully Trading and Managing Risk in Today's Volatile Energy Markets

The updated Second Edition of Energy Risk presents an authoritative overview of the contemporary energy trading arena, combining the lesson's from the last decade with proven methods and strategies required for valuing energy derivatives and managing risk in these ever volatile markets.

Written by renowned energy risk expert Dragana Pilipovic this revised classic examines market behavior, covering both quantitative analysis and trader-oriented insights. The book shows how to establish a modeling process that involves the key players_managers, traders, quantitative analysts, and engineers_and provides practical answers to energy trading and risk management questions.

The Second Edition of Energy Risk features:

  • Detailed coverage of the primary factors that influence energy risk
  • Techniques for building marked-to-market forward price curves, creating volatility matrices, and valuing complex options
  • Specific guidelines and tools for achieving risk goals
  • New to this edition: three new chapters on the emerging energy market and marked-to-market issues; new material on energy-specific models, seasonal effects, and the derivation of the mean-reverting price model; and more

    9. Managing Energy Risk: A Nontechnical Guide to Markets and Trading

    Feature

    Used Book in Good Condition

    Description

    Energy markets are more perilous than ever before. Deregulation has forced a whole new world of trading and risk management jargon onto the power and energy marketer. How does the manager master this complex process, with its myriad experts, personalities, and systems? John Wengler identifies these issues, discusses and analyzes them, and in checklist fashion prioritizes for managers what they must do to succeed despite risks as diverse as price, trader, and credit. Written in plain English, the text is directed at upper management at all electric utilities, natural gas firms, oil companies, and industrial end-users served by the energy complex.

    10. Energy Risk: Valuing and Managing Energy Derivatives

    Feature

    Used Book in Good Condition

    Description

    The electricity, natural gas, and other energy markets are on the brink of becoming THE hot opportunity for institutional investors worldwide. In fact, the growth in volume for NYMEX and IPE energy contracts is the only proof you need of the enormous potential in trading these markets. Now, for the first time, this book gives you step-by-step directions on taking advantage of this developing resource. Energy Risk walks you through properly assessing and evaluating the enormous opportunities that are unique to this complex yet vibrant market. It provides not only an expert overview of energy trading but also the philosophies and specific investment strategies you need. Harvard-trained physicist Dragana Pilipovic reveals the intricacies and mechanics of today's energy markets, provides practical answers on how best to get a foothold in energy trading, and also discusses: In-depth explanations of the primary factors that influence energy risk, such as spot price behavior, volatility, and the forward price curve; A detailed introduction to the fundamental price drivers of energy markets including electricity, natural gas, and heating and crude oil; Clearly defined ways that you can use tools introduced throughout the book to achieve your company's crucial risk/return goals. Containing unique trading models that were custom-designed for managing risk in energy and commodity trading, and with over 175 charts and graphs that illustrate key features of the market's equations, correlations, and methodologies. Energy Risk will be the standard energy market reference for many years to come.

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