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Valuation and Risk Management in Energy Markets

Valuation and Risk Management in Energy Markets surveys the mechanics of energy markets and the valuation of structures commonly arising in practice.

Glen Swindle (Author)

9781107036840, Cambridge University Press

Hardback, published 17 February 2014

494 pages, 258 b/w illus. 5 tables
26 x 18.3 x 3.1 cm, 1.04 kg

Valuation and Risk Management in Energy Markets surveys the mechanics of energy markets and the valuation of structures commonly arising in practice. The presentation balances quantitative issues and practicalities facing portfolio managers, with substantial attention paid to the ways in which common methods fail in practice and to alternative methods when they exist. The material spans basic fundamentals of markets, statistical analysis of price dynamics, and a sequence of increasingly challenging structures, concluding with issues arising at the enterprise level. In totality, the material has been selected to provide readers with the analytical foundation required to function in modern energy trading and risk management groups.

Part I. Introduction to Energy Commodities: 1. Context
2. Forwards and carry
3. Macro perspective
Part II. Basic Valuation and Hedging: 4. Risk-neutral valuation
5. Dynamics of forwards
6. Swaps books
Part III. Primary Valuation Issues: 7. Term structure of volatility
8. Skew
9. Correlation
Part IV. Multi-Factor Models: 10. Covariance, spot prices, and factor models
11. Gaussian exponential factor models
12. Modeling paradigms
Part V. Advanced Methods and Structures: 13. Natural gas storage
14. Tolling deals
15. Variable quantity swaps
Part VI. Additional Topics: 16. Control, risk metrics, and credit
17. Conclusions
Appendices.

Subject Areas: Calculus & mathematical analysis [PBK], Finance [KFF], Environmental economics [KCN], Economics [KC]

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