Analysis and Valuation, Risk Management, and the Future of Energy

Author: Betty Simkins,Russell Simkins

Publisher: John Wiley & Sons

ISBN: 1118235983

Category: Business & Economics

Page: 624

View: 9877

Thought leaders and experts offer the most current information and insights into energy finance Energy Finance and Economics offers the most up-to-date information and compelling insights into the finance and economics of energy. With contributions from today's thought leaders who are experts in various areas of energy finance and economics, the book provides an overview of the energy industry and addresses issues concerning energy finance and economics. The book focuses on a range of topics including corporate finance relevant to the oil and gas industry as well as addressing issues of unconventional, renewable, and alternative energy. A timely compendium of information and insights centering on topics related to energy finance Written by Betty and Russell Simkins, two experts on the topic of the economics of energy Covers special issues related to energy finance such as hybrid cars, energy hedging, and other timely topics In one handy resource, the editors have collected the best-thinking on energy finance.
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Analysis and Valuation, Risk Management, and the Future of Energy

Author: Betty Simkins,Russell Simkins

Publisher: John Wiley & Sons

ISBN: 1118221907

Category: Business & Economics

Page: 624

View: 7696

Thought leaders and experts offer the most current information and insights into energy finance Energy Finance and Economics offers the most up-to-date information and compelling insights into the finance and economics of energy. With contributions from today's thought leaders who are experts in various areas of energy finance and economics, the book provides an overview of the energy industry and addresses issues concerning energy finance and economics. The book focuses on a range of topics including corporate finance relevant to the oil and gas industry as well as addressing issues of unconventional, renewable, and alternative energy. A timely compendium of information and insights centering on topics related to energy finance Written by Betty and Russell Simkins, two experts on the topic of the economics of energy Covers special issues related to energy finance such as hybrid cars, energy hedging, and other timely topics In one handy resource, the editors have collected the best-thinking on energy finance.
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Analysis and Valuation, Risk Management, and the Future of Energy

Author: Betty Simkins,Russell Simkins

Publisher: Wiley

ISBN: 9781118017128

Category: Business & Economics

Page: 624

View: 5356

Thought leaders and experts offer the most current information and insights into energy finance Energy Finance and Economics offers the most up-to-date information and compelling insights into the finance and economics of energy. With contributions from today's thought leaders who are experts in various areas of energy finance and economics, the book provides an overview of the energy industry and addresses issues concerning energy finance and economics. The book focuses on a range of topics including corporate finance relevant to the oil and gas industry as well as addressing issues of unconventional, renewable, and alternative energy. A timely compendium of information and insights centering on topics related to energy finance Written by Betty and Russell Simkins, two experts on the topic of the economics of energy Covers special issues related to energy finance such as hybrid cars, energy hedging, and other timely topics In one handy resource, the editors have collected the best-thinking on energy finance.
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Powering the Future

Author: Charles W Donovan

Publisher: World Scientific

ISBN: 178326778X

Category: Business & Economics

Page: 368

View: 6520

The future of clean energy is no longer about science and technology; it's all about access to finance. The fossil fuel industry has been subsidized for decades with tax breaks and government backing, while renewables have struggled to compete. But now clean energy is the safe bet for investors, as is argued in Renewable Energy Finance: Powering the Future, edited by Dr Charles Donovan, Principal Teaching Fellow at Imperial College Business School. With a Foreword writer Lord Brown and contributions from some of the world's leading experts in energy finance, this timely book documents how investors are spending over US$250 billion each year on new renewable energy projects and positioning themselves in a global investment market that will continue to expand at double-digit growth rates until 2020. It documents first-hand experiences of the challenges of balancing risk and return amid volatile market conditions and rapid shifts in government policy. Renewable Energy Finance provides an insider's perspective on renewable energy transactions, and insight into how countries like the US, India and China are responding to the global energy challenge. Drawing together contributions from senior executives and leading academics, Renewable Energy Finance serves an audience of readers craving intelligent, practical perspectives on the future of clean energy investment. Contents:Section I:Introduction to Renewable Energy Finance (Charles Donovan)The Clean Energy Imperative (Jim Skea)How Much Renewable Energy Will the Global Economy Need? (Guy Turner)Investor-Specific Cost of Capital and Renewable Energy Investment Decisions (Thorsten Helms, Sarah Salm & Rolf Wüstenhagen)Section II:Markets, Governments and Renewable Electricity (Richard Green)The Impact of Government Policies on Renewable Energy Investment (Gireesh Shrimali)Mobilizing Private Sector Capital in Developing Countries (Alexandre Chavarot & Matthew Konieczny)Renewable Energy Finance in China (Philip Andrews-Speed & Sufang Zhang)Measuring the Carbon Delta of Investment Performance (Celine McInerney & Derek Bunn)Section III:The Growing Role for Private Equity (Brian Potskowski & Chris Hunt)Project Finance and the Supply of Credit from Commercial Banks (Alejandro Ciruelos Alonso)The Untapped Potential of Institutional Investors (David Nelson)The Spectacular Growth of Solar PV Leasing (Bruce Usher & Albert Gore)Crowdfunding: Ready for the Big Leagues? (Karl Harder & Sam Friggens) Readership: Advance economics undergraduates and postgraduates undertaking modules in Environmental and Energy economics. Finance students undertaking Energy Finance modules. Researchers and interested financial professionals looking for a reference volume on clean energy investing. Keywords:Renewable Energy;Clean Energy Finance;Solar Energy Financing
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Modeling, Pricing, and Hedging in Energy and Commodity Markets

Author: Fred Espen Benth,Valery A. Kholodnyi,Peter Laurence

Publisher: Springer Science & Business Media

ISBN: 1461472482

Category: Business & Economics

Page: 308

View: 8133

Finance and energy markets have been an active scientific field for some time, even though the development and applications of sophisticated quantitative methods in these areas are relatively new—and referred to in a broader context as energy finance. Energy finance is often viewed as a branch of mathematical finance, yet this area continues to provide a rich source of issues that are fuelling new and exciting research developments. Based on a special thematic year at the Wolfgang Pauli Institute (WPI) in Vienna, Austria, this edited collection features cutting-edge research from leading scientists in the fields of energy and commodity finance. Topics discussed include modeling and analysis of energy and commodity markets, derivatives hedging and pricing, and optimal investment strategies and modeling of emerging markets, such as power and emissions. The book also confronts the challenges one faces in energy markets from a quantitative point of view, as well as the recent advances in solving these problems using advanced mathematical, statistical and numerical methods. By addressing the emerging area of quantitative energy finance, this volume will serve as a valuable resource for graduate-level students and researchers studying financial mathematics, risk management, or energy finance.
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Valuing and Managing Energy Derivatives

Author: Dragana Pilipović

Publisher: McGraw Hill Professional

ISBN: 9780786312313

Category: Business & Economics

Page: 248

View: 8493

The energy market uses tools and models that are unique and different from those required for traditional financial markets. This book provides not only an expert overview of energy trading but also the philosophies and strategies necessary for trading and managing risk in this arena of finance and investing.
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Concepts, Issues, Markets and Governance

Author: Subhes C. Bhattacharyya

Publisher: Springer Science & Business Media

ISBN: 9780857292681

Category: Business & Economics

Page: 721

View: 4693

Since its modest beginning in the 1970s, the academic and research focus on energy has grown substantially and energy has established itself as an independent, interdisciplinary subject area. It attracts attention from people in a range of different fields including engineers, scientists, geologists, environmentalists, bankers, investors, policy makers and politicians. Energy Economics introduces the basic concepts of energy economics and explains how simple economic tools can be used to analyse contemporary energy issues. Energy Economics is organised into six parts that give the reader a thorough grounding in various key aspects of the subject: basic demand-related concepts and ideas used in energy economics; supply-side economics; energy markets, with specific emphasis on oil, gas and coal; the application of simple economic principles in analysing contemporary energy issues; environmental aspects of energy use; and regulatory and governance issues. Energy Economics is an easily accessible reference book for students of energy economics at the postgraduate level, as well as for a wider interdisciplinary audience. It provides readers with the skills required to understand and analyse complex energy issues from an economic perspective.
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An Overview of the Energy Sector and Its Physical and Financial Markets

Author: GARP (Global Association of Risk Professionals)

Publisher: John Wiley & Sons

ISBN: 9780470447826

Category: Business & Economics

Page: 144

View: 9007

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. It also introduces certain risk management fundamentals and real option thinking. The book is GARP's required text used by risk professionals looking to obtain their Certificate in Energy Risk Management.
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Trading, Risk Management and Structuring Deals in the Energy Market

Author: Davis W. Edwards

Publisher: McGraw Hill Professional

ISBN: 0071629076

Category: Business & Economics

Page: 400

View: 5774

“The essential training manual for anyone who expects to profi tably engage the energy market while avoiding the devils lurking in the details.” Kurt Yeager, former President and CEO of the Electric Power Research Institute and coauthor of Perfect Power Shrinking fossil fuel supplies, volatile prices, deregulation, and environmental conservation have transformed the energy market into a major arena for making money. In response, an unprecedented amount of capital and investment manpower has fl ooded into the energy market. Older utilities are finding that their quiet, safe business has changed dramatically in a short period of time. Now, Energy Trading and Investing provides a big-picture introduction to the industry along with the trading know-how and fi nancial details that every market participant needs for success. This hands-on guidebook covers all types of energy markets—from the big-three markets of electricity, natural gas, and oil to the growing markets for liquefied natural gas, emissions, and alternative energy. It provides useful information on the interdependence of the different energy markets, who the major players are, and how Wall Street trades energy products. Energy Trading and Investing features: An overview of the entire energy market In-depth descriptions of all of the major energy commodities Financially oriented discussions of how chemistry, physics, accounting, and option pricing affect trading Primers on load forecasting, tolling agreements, natural gas storage, and more A practical introduction to risk management Written by a pioneering quant in the energy market, Energy Trading and Investing provides a highly disciplined and organized approach to profi ting from energy investments. This potent combination of detailed, up-to-date information alongside expert know-how thoroughly prepares you to invest and trade with confi dence in the energy market. If you’re a serious trader, you need to understand the energy markets, and Energy Trading and Investing is the only book you need to trade successfully in this growing sector.
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Author: Glen Swindle

Publisher: Cambridge University Press

ISBN: 1107036844

Category: Business & Economics

Page: 494

View: 9761

This book 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 book will provide readers with the analytical foundation required to function in modern energy trading and risk management groups.
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Author: Kornelis Blok,Evert Nieuwlaar

Publisher: Taylor & Francis

ISBN: 1317207289

Category: Business & Economics

Page: 310

View: 8161

The energy supply and demand system is of great importance for society, from economic, social, and ecological viewpoints. The last decade in particular has seen rapid changes in the world of energy systems, and it is therefore now an important area for study, academic research, and professional work. This textbook provides an introduction to energy analysis for those students who want to specialise in this challenging field. In comparison to other textbooks, this book provides a balanced treatment of complete energy systems, covering the demand side, the supply side, and the energy markets that connect these. The emphasis is very much on presenting a range of tools and methodologies that will help students find their way in analysing real world problems in energy systems. Featuring learning objectives, further readings and practical exercises in each chapter, An Introduction to Energy Analysis will be essential reading for upper-level undergraduate and postgraduate students with a background in the natural sciences and egineering. This book may also be useful for professionals dealing with energy issues, as a first introduction into the field.
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Author: Gene Beck

Publisher: Lulu Press, Inc

ISBN: 1329204182

Category: Technology & Engineering

Page: N.A

View: 6871

This important new guide provides an in-depth examination of the knowledge, insights and techniques which are essential to success in the financing of renewable energy projects. Bringing to this book over 35 years of experience with special expertise in capital asset financing for energy projects, the author provides the reader with a comprehensive overview of all the disciplines which must come into play to finance renewable energy projects in America today. Each component of "the deal" is explored, including the relevant tax, accounting, legal, regulatory, documentation, and asset management, along with the legislative drivers which impact this dynamic growth sector. Case studies-complete with project documentation samples-provide lessons which you'll not find available in traditional finance textbooks. These studies illustrate in detail what it takes to compete successfully in the green energy marketplace.
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Advanced Textbook on the Evaluation of Mineral and Energy Projects

Author: Dennis L Buchanan

Publisher: World Scientific Publishing Company

ISBN: 1783268530

Category: Business & Economics

Page: 220

View: 8178

Given the design component it involves, financial engineering should be considered equal to conventional engineering. By adopting this complementary approach, financial models can be used to identify how and why timing is critical in optimizing return on investment and to demonstrate how financial engineering can enhance returns to investors. Metals and Energy Finance capitalizes on this approach, and identifies and examines the investment opportunities offered across the extractive industry's cycle, from exploration through evaluation, pre-production development, development and production. The textbook also addresses the similarities of a range of natural resource projects, whether minerals or petroleum, while at the same time identifying their key differences. This innovative textbook is clear and concise in its approach, and is illustrated throughout with case studies and exercises used at professional training sessions. As the sum of 45 years' international experience in industry and teaching mining geology, mineral exploration and mineral project appraisal, Metals and Energy Finance will be invaluable to both professionals and graduate students working in the field of mineral and petroleum business management. If you would like to look at two courses on this subject, please click on the following links for more information: 'Metals and Energy Finance' — www.imperial.ac.uk/cpd/mef and 'Introduction to Mining for Bankers' — www.imperial.ac.uk/cpd/mfb In July 2016 Prof Buchanan will present the EduMine course "Valuation of Mineral Projects Based on Technical and Financial Modelling" in Vancouver, Canada, for which this book will be used to support the delivery. For more information please visit http://www.edumine.com/courses/short-courses/valuation-of-mineral-projects-based-on-technical-and-financial-modelling/. Errata(s) Errata (21 KB)
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Understanding Pricing, Policies, & Profits, 2nd Edition

Author: Carol Dahl

Publisher: PennWell Books

ISBN: 1593702914

Category: Business & Economics

Page: 683

View: 1922

Industry leader Carol Dahl has thoroughly revised and updated her classic text International Energy Markets: Understanding Pricing, Policies, and Profits. The second edition uses updated examples, statistics and models to explore energy policy, economics, institutions, and production in a global context. It will be of interest to anyone who wants to learn more about the global energy industry, and is a perfect classroom resource. Additional materials can be found at http://dahl.mines.edu
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Author: Peter F. Christoffersen

Publisher: Academic Press

ISBN: 0123744482

Category: Business & Economics

Page: 326

View: 6980

The Second Edition of this best-selling book expands its advanced approach to financial risk models by covering market, credit, and integrated risk. With new data that cover the recent financial crisis, it combines Excel-based empirical exercises at the end of each chapter with online exercises so readers can use their own data. Its unified GARCH modeling approach, empirically sophisticated and relevant yet easy to implement, sets this book apart from others. Four new chapters and updated end-of-chapter questions and exercises, as well as Excel-solutions manual and PowerPoint slides, support its step-by-step approach to choosing tools and solving problems. Examines market risk, credit risk, and operational risk Provides exceptional coverage of GARCH models Features online Excel-based empirical exercises
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Markets, History and Policy

Author: Roy L. Nersesian

Publisher: Routledge

ISBN: 1317511875

Category: Business & Economics

Page: 628

View: 7225

Three quarters of our current electricity usage and transport methods are derived from fossil fuels and yet within two centuries these resources will dry up. Energy Economics covers the role of each fossil and renewable energy source in today’s world, providing the information and tools that will enable students to understand the finite nature of fossil fuels and the alternative solutions that are available. This textbook provides detailed examinations of key energy sources – both fossil fuels and renewables including oil, coal, solar, and wind power – and summarises how the current economics of energy evolved. Subsequent chapters explore issues around policy, technology and the possible future for each type of energy. In addition to this, readers are introduced to controversial topics including fracking and global warming in dedicated chapters on climate change and sustainability. Each chapter concludes with a series of tasks, providing example problems and projects in order to further explore the proposed issues. An accompanying companion website contains extensive additional material on the history of the major types of fuel as well as technical material relating to oil exploration, the development of solar power and historical environmental legislation. This textbook is an essential text for those who study energy economics, resource economics or energy policy.
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Portfolio Optimization in the Energy Sector: A Tribute to the work of Dr. Shimon Awerbuch

Author: Morgan Bazilian,Fabien Roques

Publisher: Elsevier

ISBN: 9780080915319

Category: Business & Economics

Page: 364

View: 4146

Analytical Methods for Energy Diversity and Security is an ideal volume for professionals in academia, industry and government interested in the rapidly evolving area at the nexus between energy and climate change policy. The cutting-edge international contributions allow for a wide coverage of the topic. Analytical Methods for Energy Diversity and Security focuses on the consideration of financial risk in the energy sector. It describes how tools borrowed from financial economic theory, in particular mean-variance portfolio theory, can provide insights on the costs and benefits of diversity, and thus inform investment decision making in conditions of uncertainty. It gives the reader an in-depth understanding of how to manage risk at a time when the world’s focus is on this area. The book provides insights from leading authorities in the area of energy security. It gives readers abundant, rigorous analysis and guidance at a critical time in facing the twin challenges of energy security and climate change. The book also highlights the role of clean energy technology in moving towards future diverse and intelligent electricity systems. It will be a trusted, first point of reference for decision-makers in the field of energy policy. The book includes a foreword by the 2007 Nobel Peace Prize winner. All royalties from sale of this book will be donated to charities working in the energy sector in the developing world. Theoretical underpinning and applied use of Portfolio theory in the energy sector In-depth consideration of risk Contributions from leading international energy economists Innovative methodologies for thinking about energy security and diversity
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Management, Strategy & Finance

Author: Andrew C. Inkpen,Michael H. Moffett

Publisher: PennWell Books

ISBN: 1593702396

Category: Business & Economics

Page: 581

View: 717

Despite its size and importance, a surprising lack of basic knowledge exists about the oil and gas industry. With their timely new book, authors Andrew Inkpen and Michael H. Moffett have written a nontechnical book to help readers with technical backgrounds better understand the business of oil and gas. They describe and analyze the global oil and gas industry, focusing on its strategic, financial, and business aspects and addressing a wide range of topics organized around the oil and gas industry value chain, starting with exploration and ending with products sold to consumers. The Global Oil & Gas Industry is a single source for anyone interested in how the business of the worldís largest industry actually works: business executives, students, government officials and regulators, professionals working in the industry, and the general public.
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A Century of Oil Panics, Crises, and Crashes

Author: Blake C. Clayton

Publisher: Oxford University Press

ISBN: 0199990077

Category: Business & Economics

Page: 240

View: 5110

Stock market booms are cause for celebration. But when oil prices soar because supplies are failing to keep up with demand, the response is nearly always apocalyptic. Predictions of the end of oil can create anxiety on Wall Street and in Washington, stoking fears that production has hit a ceiling and prices will rise in perpetuity. Yet these dire visions have always proven wrong. Market Madness is the story of four waves of American anxiety over the last 100 years about a looming end to oil reserves. Their sweeping pattern-as large price increases lead to widespread shortage fears that eventually dissipate when oil production rises again and prices moderate-has defined the wild price swings in the oil market down to the present day. Blake Clayton, a Wall Street stock analyst and adjunct fellow at the Council on Foreign Relations, makes the case for the need for better information, communication and transparency. While these measures will not eliminate volatility and unpredictability completely, they would mitigate unnecessary price spikes and improve both investor and government decision-making. Market Madness is the first study to employ Nobel Laureate economist Robert Shiller's "new era economics" beyond the markets to which he famously applied it-the 1990s dot-com equity market and the mid-2000s housing market-in order to better understand the dynamics of speculative bubbles and irrationality in the commodities markets. In so doing, it breaks new ground in illuminating how mass beliefs about the future of a vital asset like oil take shape and what the future of energy may hold.
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Quantitative Methods in Banking, Finance, Insurance, Energy and Commodity Markets

Author: Giorgio Consigli,Silvana Stefani,Giovanni Zambruno

Publisher: Springer

ISBN: 3319613200

Category: Business & Economics

Page: 320

View: 3646

This handbook includes contributions related to optimization, pricing and valuation problems, risk modeling and decision making problems arising in global financial and commodity markets from the perspective of Operations Research and Management Science. The book is structured in three parts, emphasizing common methodological approaches arising in the areas of interest: - Part I: Optimization techniques - Part II: Pricing and Valuation - Part III: Risk Modeling The book presents to a wide community of Academics and Practitioners a selection of theoretical and applied contributions on topics that have recently attracted increasing interest in commodity and financial markets. Within a structure based on the three parts, it presents recent state-of-the-art and original works related to: - The adoption of multi-criteria and dynamic optimization approaches in financial and insurance markets in presence of market stress and growing systemic risk; - Decision paradigms, based on behavioral finance or factor-based, or more classical stochastic optimization techniques, applied to portfolio selection problems including new asset classes such as alternative investments; - Risk measurement methodologies, including model risk assessment, recently applied to energy spot and future markets and new risk measures recently proposed to evaluate risk-reward trade-offs in global financial and commodity markets; and derivatives portfolio hedging and pricing methods recently put forward in the financial community in the aftermath of the global financial crisis.
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