Energy Hedging in Asia: Market Structure and Trading Opportunities
Title | Energy Hedging in Asia: Market Structure and Trading Opportunities PDF eBook |
Author | P. Fusaro |
Publisher | Springer |
Pages | 395 |
Release | 2005-08-02 |
Genre | Business & Economics |
ISBN | 0230510965 |
This book focuses on the latest developments in the Asia-Pacific community in terms of how deregulation and privatization are bringing more risk to energy companies. In the light of these market changes, interest in energy risk management has grown substantially and is becoming a fiduciary responsibility of energy companies. As energy trading, power exchanges and hedging techniques establish themselves in the oil, power and gas sectors, so then do newer derivatives markets emerge in LNG hedging, weather derivatives and freight hedging. Fusaro and James, as seasoned market practitioners in the region, focus on these market changes and examine the future of Asian energy hedging.
Energy Hedging In Asia: Market Structure And Trading Opportunities
Title | Energy Hedging In Asia: Market Structure And Trading Opportunities PDF eBook |
Author | Peter C. Fusaro |
Publisher | |
Pages | 382 |
Release | 2010-09-01 |
Genre | |
ISBN | 9788182744745 |
Security and Profit in China's Energy Policy
Title | Security and Profit in China's Energy Policy PDF eBook |
Author | ¯ystein Tunsj¿ |
Publisher | Columbia University Press |
Pages | 338 |
Release | 2013-10-29 |
Genre | Political Science |
ISBN | 0231165080 |
China has developed sophisticated hedging strategies for managing the international petroleum market, maintaining a favorable energy mix, pursuing overseas equity oil production, building a state-owned tanker fleet and strategic petroleum reserve, establishing cross-border pipelines, and diversifying its energy resources and routes. Though it cannot be “secured,” China’s energy security can be “insured” by marrying government concern with commercial initiatives. This book identifies the interrelationship between security and profit that better describes China’s energy-security policy.
A Guide to Starting Your Hedge Fund
Title | A Guide to Starting Your Hedge Fund PDF eBook |
Author | Erik Serrano Berntsen |
Publisher | John Wiley & Sons |
Pages | 188 |
Release | 2015-03-03 |
Genre | Business & Economics |
ISBN | 1119064899 |
Successful hedge fund investing begins with well-informed strategy A Guide to Starting Your Hedge Fund is a practical, definitive "how-to" guide, designed to help managers design and launch their own funds, and to help investors select and diligence new funds. The first book to examine the practical aspects of setting up and operating funds with a focus on energy commodity markets, this book scrutinises the due diligence process and comprehensively reviews the opportunities and risks of all energy commodity markets as hedge fund investments. Extensive planning and strategy advice prove invaluable to prospective fund managers and investors alike, and detailed discussion of the markets' constraints help inform procedural decisions. Readers gain insight into practical matters including legal and commercial structures, due diligence, fund raising, operations, and more, allowing them to construct a concrete investment plan before ever touching a penny. Asset managers are looking to energy commodities to provide attractive uncorrelated – if volatile – returns. These high returns, however, are accompanied by high risk. Few investors have experience evaluating these investment opportunities, and few prospective fund managers understand the market fundamentals and their associated risks. This book provides the answers sorely lacking in hedge fund literature, giving investors and fund managers the background they need to make smarter decisions. Understand the markets' structures, opportunities, and risks Develop a comprehensive, well-informed investment strategy Conduct thorough due diligence with a detailed plan Examine the practical aspects of fund raising, legal and tax structure, and more Oil has long been traded by hedge funds, but electricity, the fuels that generate electricity, and the environmental products like emissions allowances and weather derivatives have become the new "hot" investment strategies. These high returns come with higher risk, but A Guide to Starting Your Hedge Fund ensures participants have essential information at their disposal.
Energy Markets
Title | Energy Markets PDF eBook |
Author | Tom James |
Publisher | John Wiley & Sons |
Pages | 374 |
Release | 2012-11-27 |
Genre | Business & Economics |
ISBN | 1118580478 |
Price Risk Management and Trading. Energy risk management expert, Tom James, does it again. His latest book is a timely addition to the rapidly developing energy trading markets. This book should be on every energy trader, risk manager and corporate planer's desk. it is an easy read as Tom goes into great detail to explain the intricacies of this market and its various unique elements. - Peter C. Fusaro, Chairman, Global Change Associates Inc., Best-selling Author and Energy Expert This sensible and practical guide is essential for those seeking an understanding of commerce in energy derivatives. beyond merely informative, this hand book for the practitioner details the finer points of the use of derivatives as tools for price-risk management. No energy trading desk should be without it. - Ethan L. Cohen, Senior Director, Utility and Energy Technology, UtiliPoint International Inc. Energy markets are much more volatile than other commodity markets, so risk mitigation is more of a concern. Energy prices, for example, can be affected by weather, geopo9litical turmoil, changes in tax and legal systems, OPEC decisions, analysis' reports, transportation issues, and supply and demand - to name just a few factors. Tom James's book is a practical guide to assessing and managing these risks. It is a must-read for senior management as well as risk and financial professionals.- Don Stowers, Editor, Oil & Gas Financial Journal This book is the most comprehensive on price risk management-centric efforts. It provides the reader with a tangible experience of derivatives in today's capital and energy markets. The breadth and scope of the passages are immense, in that both developed and developing countries' energy markets are considered and examples applied. Terrific read! - Rashpal Bhatti, Marketing Manager, Energy Trading Asia, Enron/BHP Billiton Tom James has simplified the intricacies of a very complex market. In this new market of "hot" commodities, he has been able to give a fresh course to those who are new to the energy markets and a solid review for those that are well seasoned. he covers everything within the oil market from A to Z in this book and does it well. Coming from a financial background myself, it's good to finally find a book that can bring a better understanding to the field of energy commodities. - Carl Larry, Vice President Citi Energy Global Commodities
Houston of Asia
Title | Houston of Asia PDF eBook |
Author | Tilak Doshi |
Publisher | Institute of Southeast Asian Studies |
Pages | 169 |
Release | 1989-12-01 |
Genre | Business & Economics |
ISBN | 9813035293 |
This is a comprehensive survey of Singapore’s dominating regional role as provider of petroleum refining, blending, and storage services, exporter of refined petroleum products, port of call for bunker and jet fuels, and spot market for the Asia-Pacific petroleum trade. Substantively based on industry data sources, this book is conceived of as an initial step in a continued and independent research interest on one of the Pacific Basin’s most dynamic and strategic industries.
Commodity Risk Management
Title | Commodity Risk Management PDF eBook |
Author | Geoffrey Poitras |
Publisher | Routledge |
Pages | 426 |
Release | 2013-03-05 |
Genre | Business & Economics |
ISBN | 1136262601 |
Commodity Risk Management goes beyond just an introductory treatment of derivative securities, dealing with more advanced topics and approaching the subject matter from a unique perspective. At its core lies the concept that commodity risk management decisions require an in-depth understanding of speculative strategies, and vice versa. The book offers readers a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk in commodity markets. While some of these techniques are well known and fairly common, Poitras offers applications to specific situations and links to speculative trading strategies - extensions of the material that not only are hard to come by, but helpful to both the academic and the practitioner. The book is divided into three parts. The first part deals with the general framework for commodity risk management, the second part focuses on the use of derivative security contracts in commodity risk management, and the third part deals with applications to three specific situations. As a textbook, this book is designed to appeal to classes at a senior undergraduate/MBA/MA levelof training in Finance, financial economics, actuarial science, management science, agriculturaleconomics and accounting. There will also be interest for the book as: a monograph for research libraries, a handbook for individuals working in the commodity risk management industry, and a guidebook for those in the general public interested in topics like farm risk management or the assessment of hedging practices of publicly-traded commodity producers.