Financial Risk Management in Duke Energy

Case Code: FINA014 Case Length: 17 Pages Period: 2003 Pub Date: 2003 Teaching Note: Not Available |
Price: Rs.500 Organization: Duke Energy Industry: Power Countries: USA Themes: Banking and Financial Management, Microfinance |

Abstract Case Intro 1 Excerpts
Abstract
Duke Energy is a leading gas and power producer and marketer in the US. It is also the largest producer of natural gas liquids in the US. Duke faces a range of financial risks. These include commodity price risks, equity price risks, interest rate risks, foreign currency risks and credit risks. The case outlines the risks and the risk management policies Duke employs to deal with them.
Contents
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Introduction
Background Note
Business Segments
Overview of Risks
Market Risk Management
Credit Risk Management
Exhibits
Keywords
Duke Energy, Financial risk management, Commodity price risks, Interest rate risks, Foreign currency risks, Equity price risks, Credit risk management, US power industry, US wholesale electricity market, US leading gas producer, Duke Energy Trading and Marketing, Financial risk management at American Electric Power
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