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Garp (Global Association of Risk Profess, GARP (Global Association of Risk Professionals), GARP GLOBAL ASSOCIATION OF RISK P
Foundations of Energy Risk Management - An Overview of Energy Sector Its Physical Financial Markets
English · Paperback / Softback
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Description
Informationen zum Autor The Global Association of Risk Professionals (GARP) is a not-for-profit association consisting of 74,890 individuals around the world who are involved in financial risk management. Members come from more than 100 countries and work in regional and global banks, asset management firms, insurance companies, central banks, securities regulators, hedge funds, universities, large industrial corporations and multinationals. Klappentext A comprehensive overview of the energy sector and its physical and financial marketsThe first in a series of study guides for GARP's Certificate in Energy Risk Management programThe Global Association of Risk Professionals (GARP) created the Certificate in Energy Risk Management to provide a practicalunderstanding of the risks inherent in the energy industry and to offer a comprehensive overview and analysis based on theeveryday practice of energy risk management in the global physical and financial energy markets.Foundations of Energy Risk Management is an integral part of GARP's Certificate in Energy Risk Management-a rigorous,practice-driven, comprehensive program developed to meet the needs of today's dynamic global energy markets and the highlyskilled professionals working with energy-and the first in a series of books focusing on energy risk management.Developed from in-depth insights and expert advice from internationally recognized leaders in energy risk management, this bookfamiliarizes the reader with the language of the energy industry, energy trading, and risk management, and covers:* The steps in the commodity cycle* The global markets for various energy products-crude oil, refined products, natural gas, LNG, and electricity/power* The various risk types inherent to the energy business* The risk management tools available to energy companies . . . and much moreEach chapter contains practical, real-life examples and explanations of energy-related events to explain the "science" and"business" of energy. Tables, graphs, and diagrams reveal the complex path energy takes to reach the consumer, the risksrelating to various energy commodities, and the role of the commodity markets. For anyone working in the energy industry orinterested in energy, it is essential to have a firm understanding of the physical and financial energy markets, how these twomarkets interrelate, and what risks are involved in each. Foundations of Energy Risk Management helps in achieving this goal.It puts you in a better position to excel in GARP's Certificate in Energy Risk Management.Completing the Certificate in Energy Risk Management is not only an accomplishment, but the right step in career development. Zusammenfassung GARP's Fundamentals of Energy Risk Management introduces investors to the basic components and some of the basic terminology used in the energy industry. It covers the commodity cycle, energy use and sources, and various risk types, various energy products and the markets where energy is traded. Inhaltsverzeichnis Introduction vii Garp's Certificate in Energy Risk Management ix Garp's Foundations of Energy Risk Management Course Specification xi Syllabus and Learning Outcomes xi User Guide xii Chapter 1: The Energy Cycle 1 1.1 Introduction 1 1.2 Exploration 3 1.3 Production or Extraction 4 1.4 Processing 6 1.5 Transportation and Storage 7 1.6 Refining 8 1.7 Distribution 8 1.8 Integrated and Specialty Companies 9 Chapter 2: Risks in the Energy Cycle 13 2.1 Overview 13 2.2 Market Risk 15 2.3 Credit Risk 15 2.4 Operational Risks 16 2.5 Liquidity Risk 19 2.6 Political and Regulatory Risk 20 2.7 Price Risk and Credit Risk 21 2.8 Integrated Vs. Specialty Companies 22 2.9 Common Risk Management Tools 23 2.10...
List of contents
Introduction.
Garp's Certificate In Energy Risk Management.
Garp's Foundations Of Energy Risk Management Course Specification.
Syllabus And Learning Outcomes.
User Guide.
Chapter 1: The Energy Cycle.
1.1. Introduction.
1.2. Exploration.
1.3. Production Or Extraction.
1.4. Processing.
1.5. Transportation And Storage.
1.6. Refining.
1.7. Distribution.
1.8. Integrated And Specialty Companies.
Chapter 2: Risks In The Energy Cycle.
2.1. Overview.
2.2. Market Risk.
2.3. Credit Risk.
2.4. Operational Risks.
2.5. Liquidity Risk.
2.6. Political And Regulatory Risk.
2.7. Price Risk And Credit Risk.
2.8. Integrated VS. Specialty Companies.
2.9. Common Risk Management Tools.
2.10. Volatility And Energy Risk Management.
Chapter 3: World Energy Use.
3.1. Overview.
3.2. Energy Intensity.
3.3. Energy Consumption By End-Use Sector.
Chapter 4: Major Sources Of Energy.
4.1. Overview.
4.2. World Crude Oil.
4.2.1 Production.
4.2.2 Consumption.
4.2.3 Oil Reserves.
4.2.4 Factors Influencing World Oil Markets.
4.2.5 Factors Influencing Crude Oil Prices.
4.2.6 Refined Crude Oil Products.
4.3. World Natural Gas.
4.3.1 Production.
4.3.2 Consumption.
4.3.3 Natural Gas Reserves.
4.3.4 Factors Affecting Gas Markets.
4.3.5 Factors Affecting Natural Gas Prices.
4.4. World LNG.
4.4.1 Recent Developments.
4.4.2 The LNG Market.
4.5 Coal.
4.5.1 Production.
4.5.2 Reserves.
4.5.3 Consumption.
4.5.4 Coal To Liquid Fuels (CTL).
4.6. Power / Electricity.
4.6.1 Power Generation.
4.6.2 Basic Technical Fundamentals of Power.
Chapter 5: The Markets For Energy Products.
5.1. Introduction.
5.2. The Physical Markets.
5.2.1 Spot Markets.
5.2.2 Crude Oil Spot Markets.
5.2.3 Crude Oil Forward Markets.
5.2.4 Physical Gas Markets.
5.3. The Financial Markets.
5.3.1 Organization Of Financial Markets.
5.3.2 Financial Derivatives.
5.3.3 Basis Risk.
5.3.4 Speculation, Arbitrage And Hedging.
5.4. The Relationship Between The Physical And Financial Prices.
5.5. Emission Trading
5.5.1 Emission Trading Programs.
5.5.2 Emission Trading In The United States.
5.5.3 Emission Trading In The European Union.
5.5.4 Kyoto Protocol.
Chapter 6: Real Options In The Energy Market.
Glossary.
Index.
Acknowledgements.
Product details
| Authors | Garp (Global Association of Risk Profess, GARP (Global Association of Risk Professionals), GARP GLOBAL ASSOCIATION OF RISK P |
| Publisher | Wiley, John and Sons Ltd |
| Languages | English |
| Product format | Paperback / Softback |
| Released | 17.12.2008 |
| EAN | 9780470421901 |
| ISBN | 978-0-470-42190-1 |
| No. of pages | 120 |
| Dimensions | 203 mm x 253 mm x 7 mm |
| Series |
Wiley Finance Wiley Finance Editions The Wiley Finance Series Wiley Finance Wiley Finance Editions The Wiley Finance Series |
| Subjects |
Social sciences, law, business
> Business
> Business administration
Finance & Investments, Finanz- u. Anlagewesen, Institutionelle Finanzplanung, Insurance & Risk Management, Versicherungswesen u. Risikomanagement, Energy industries and utilities |
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