Pan-European management of electricity portfolios: Risks and opportunities of contract bundling
Markus Gampert and
Reinhard Madlener
Energy Policy, 2011, vol. 39, issue 5, 2855-2865
Abstract:
Due to the liberalization of energy markets in the European Union, today's European utilities not only focus on electricity supply, but also offer exchange-traded "structured products" or portfolio management for unbundling financial and physical risk positions. Many utilities are only able to provide these services in their domestic markets. In a globalized economy, the need for a centrally organized pan-European portfolio management has arisen, as it allows a simplified commodity sourcing in combination with an optimized risk management. In this paper, we examine the challenges to be overcome for establishing a European-wide bundling of electricity contracts. For this purpose, a case study based on the business perspective of RWE Supply & Trading in Central and Eastern Europe is carried out. In a first step, we analyze general requirements for a pan-European bundling of electricity contracts. Then, RWE's situation in Europe is examined, based on which we finally propose a concept to meet customer demands in Central and Eastern Europe.
Keywords: Portfolio; management; Risk; management; Electricity; market; liberalization (search for similar items in EconPapers)
Date: 2011
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Working Paper: Pan-European Management of Electricity Portfolios: Risks and Opportunities of Contract Bundling (2010) 
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Persistent link: https://EconPapers.repec.org/RePEc:eee:enepol:v:39:y:2011:i:5:p:2855-2865
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