This manual teaches the aspects of risk management that are unique to the energy sector and is very appropriate for participants with experience in non-energy markets.
Broad topics include: The implications of Force Majeure riskHedging weather, transport & storageBeyond puts and calls: Real OptionsPricing options - energy is differentPipeline capacity as trading positionsMonetizing embedded pipeline valueEFP's and FTR's as basis tradesStorage capacity as trading positionsArbitraging price curves using storage
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