Editors:
Combines energy economics, energy finance and energy policy issues
Contributions by scholars from all over the world
Multidisciplinary approach
Includes supplementary material: sn.pub/extras
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Table of contents (12 chapters)
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Front Matter
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Geopolitical Risks
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Front Matter
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Market Risks
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Front Matter
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About this book
Since the Industrial Revolution, the efficiency with which energy resources are extracted and converted into work has played a prominent role in the accumulation of material wealth. The prominent role of energy resources, in conjunction with their scarcity and their uneven geographic distribution, has had significant repercussions. Collaboration, competition and conflict among nation states for energy resources have created global, geopolitical and market risks. In this volume, academic scholars and practitioners assess these risks from global, geopolitical and market perspectives. They do so by presenting empirical research and discussing our current understanding of this quickly changing and developing field.
This is the third volume in a series on energy organized by the Centre for Energy and Value Issues (CEVI). The previous volumes in the series were Financial Aspects in Energy (2011) and Energy Economics and Financial Markets (2012).
Editors and Affiliations
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Department of Finance, VU University Amsterdam, Amsterdam, The Netherlands
André Dorsman
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Department of Finance, DePaul University Driehaus, College of Business, Chicago, USA
Timur Gök
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Business Administration, Hacettepe University, Ankara, Turkey
Mehmet Baha Karan
About the editors
André Dorsman (1954) is President of CEVI, was till July 2013 CFO of LMG Emerge, a firm that selects asset managers in Emerging and Frontier Markets and he is also linked to the VU University Amsterdam. He has a 25 years experience in consulting and economic research in risk management and investment analysis.
Timur Gök is a Visiting Associate Professor in the Department of Finance at DePaul University. He is a former practitioner who has worked and conducted workshops in the areas of corporate risk management, corporate and international finance and corporate governance. Since 2006, he has served as the regional director of the Chicago chapter of the Professional Risk Managers’ International Association (PRMIA.org).
Mehmet Baha Karan (1955) is the vice president of CEVI and Professor of Finance at Hacettepe University, Turkey. He has served in Multinational Finance Society ( President, 2007 and 2014) and Professional Risk Managers' International Association ( Regional Director, 2011-). Main research areas are corporate finance, risk management and energy markets.
Bibliographic Information
Book Title: Perspectives on Energy Risk
Editors: André Dorsman, Timur Gök, Mehmet Baha Karan
DOI: https://doi.org/10.1007/978-3-642-41596-8
Publisher: Springer Berlin, Heidelberg
eBook Packages: Energy, Energy (R0)
Copyright Information: Springer-Verlag Berlin Heidelberg 2014
Hardcover ISBN: 978-3-642-41595-1Published: 06 March 2014
Softcover ISBN: 978-3-662-51047-6Published: 23 August 2016
eBook ISBN: 978-3-642-41596-8Published: 17 February 2014
Edition Number: 1
Number of Pages: VIII, 220
Number of Illustrations: 36 b/w illustrations, 6 illustrations in colour
Topics: Energy Policy, Economics and Management, R & D/Technology Policy, International Relations