Nicht aus der Schweiz? Besuchen Sie lehmanns.de
Understanding Risk Management and Hedging in Oil Trading - Chris Heilpern

Understanding Risk Management and Hedging in Oil Trading

A Practitioner's Guide to Managing Risk

(Autor)

Buch | Hardcover
XIII, 169 Seiten
2023 | 1st ed. 2023
Springer International Publishing (Verlag)
978-3-031-44464-7 (ISBN)
CHF 119,80 inkl. MwSt
  • Versand in 15-20 Tagen
  • Versandkostenfrei
  • Auch auf Rechnung
  • Artikel merken

This book offers a simplified, clear, and logical explanation of risk and hedging in oil trading built up from basics. It provides techniques to identify and manage risk-legal risk, operational risk, financial risk, moral risk, etc.-in oil trading with the key chapters discussing price risk and hedging. Written by an industry expert with real-world experience and featuring examples based on real trades, the book allows readers to understand the principles and applications without being overwhelmed or misled by jargon and assumptions, and will be of interest to commodity traders, investment bankers, risk managers, and anyone looking to gain further knowledge about oil market risks and hedging.

lt;p>Chris Heilpern has 30 years of experience in oil markets working for an oil major, a top trading house, and major investment banks where he traded tens of millions of tons of crude oil, refined products, and derivatives.  He currently works as a commodity professor at top French business schools and an oil markets trainer to companies throughout the world alongside his consulting work to oil majors, trading houses, and top-tier national oil companies providing bespoke advice on markets and trading.

Chapter 1: Introduction.- Chapter 2: What is Risk?.- Chapter 3: Some, but not All, of the Risks in Trading.- Chapter 4: Managing Risk.- Chapter 5: Price Risk.- Chapter 6: Hedging Price Risk.- Chapter 7: Using Basis Risk as a Trading Strategy.- Chapter 8:  Basic Derivatives.- Chapter 9: Futures Contracts and Forward Contracts.- Chapter 10: Options.- Chapter 11:  Hedging and Portfolio Risk.- Chapter 12: Conclusion.


Erscheinungsdatum
Zusatzinfo XIII, 169 p. 9 illus., 4 illus. in color.
Verlagsort Cham
Sprache englisch
Maße 155 x 235 mm
Gewicht 439 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Allgemeines / Lexika
Wirtschaft Betriebswirtschaft / Management Finanzierung
Wirtschaft Betriebswirtschaft / Management Unternehmensführung / Management
Schlagworte Basic Derivatives • Hedging and Portfolio Risk • Hedging Price Risk • Managing Risk • Oil Trading • Price Risk • Risks in Trading • trading strategies
ISBN-10 3-031-44464-7 / 3031444647
ISBN-13 978-3-031-44464-7 / 9783031444647
Zustand Neuware
Haben Sie eine Frage zum Produkt?
Mehr entdecken
aus dem Bereich
umfassende Einführung aus managementorientierter Sicht

von Jean-Paul Thommen; Ann-Kristin Achleitner …

Buch | Hardcover (2023)
Springer Gabler (Verlag)
CHF 83,95