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Energy Risk Management by Peter C. Fusaro
  • Energy Risk Management

  • Hedging Strategies and Instruments for the International Energy Markets

  • by Peter Fusaro
    - OUT OF PRINT -
    This book is no longer available from Global Investor.

    You may be able to find a second-hand copy at ABEBooks, the world's largest online marketplace for used, rare, and out-of-print books.

      • Product code: 9398
      • ISBN: 0786311843, ISBN13: 9780786311842, 256 pages, hardback
        Published by McGraw-Hill Professional on 1998 , 1st
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      Description of Energy Risk Management

      Energy deregulation, privatization and competition are a hot international topic. Professionals in this field understand the importance of hedging their financial risk, but are often unclear how to do so. The result is that either they take undue and unwarranted risk or they shy away from futures and derivatives investments that could improve their financial position while preventing substantial losses. "Energy Risk Management" is the first book to address the important issues of worldwide energy price risk management. Peter C. Fusaro has assembled the leading industry figures to explain general theories and practices for hedging risk, and specific methods to effectively manage risk in markets such as coal, natural gas, electricity, hydropower and others. The topics include: the ABCs of energy financial instruments - how to use hedging tools like futures and options, forwards and spreads; energy securitization - ways to securitize oil and gas production, and project finance implications; the future of energy price risk management - globalization of energy markets; and an integrated approach to managing all risks.
      Energy professionals and investors worldwide require information to clarify risk management concepts and applications that are new to them. "Energy Risk Management" steps into that void, providing proven hedging strategies in non-technical language that simplifies this intimidating topic.

      Contents of Energy Risk Management

      1. Why Use These Financial Tools?

      2. The ABCs of Energy Financial Instruments

      3. European Energy Markets Developments

      4. Asian Market Developments

      5. Risk Management in North America Natural Gas

      6. The Evolution US Electricity Markets

      7. European Electricity Trading Markets

      8. The Development Of Coal Futures

      9. Options Theories and Its Application to Energy

      10. Value at Risk for Power Markets

      11. Technical Analysis in Energy Trading

      12. Credit Issues and Counterparty Risk

      13. Future of Energy Price Risk Management

      About Peter C. Fusaro

      Peter C. Fusaro is Senior Vice President, Energy Consulting, for ABB Financial Services. Over the past 20 years he has worked for such energy organizations as Petroleos de Venezuela and the U.S. Department of Energy. Fusaro has also written numerous articles for energy trade journals, and he recently completed a comprehensive study that covered the application of risk management for electric power markets.

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