This course provides an overview of key issues related to energy risk management. Some of the key topics to be addressed are: managing pricing risks associated with changing market conditions and deregulation; tools used to manage volatility, including futures and options for energy risk management; environmental risk management, and risk financing for the energy sector.
This course may not be repeated for credit.
Prerequisite(s)
- Admission to the Haskayne School of Business and successful completion of 9 full-course equivalents including Finance 317.
Sections
This course will be offered next in
Fall 2012.