Financial Risk Management at BP
Abstract
Issuess
The case is structured to achieve the following teaching objectives:
- Understand BP’s business and risk management framework
- Identify the various financial risks faced by BP
- Analyze the various issues and challenges in financial risk management
- Emphasize the importance of financial risk management
Contents |
Introduction |
Background Note |
Business Model of BP |
Risk Management System at BP |
Financial Risk and its Management at BP |
Looking Ahead |
Exhibit |
Keywords
Risk management, Financial risk, Financial risk management, FRM, BP, Market risks, Currency risk, Interest rate risk, Liquidity risk, Commodity Price risk, Equity price risk, Value at Risk, VaR, Credit risk, Currency Swap, Currency forward, Interest rate swap, Derivative instruments, Hedging, APOC, Business Model of BP, Upstream, Downstream, Rosneft, Risk Management at BP, Foreign currency exchange risk, Cylinders, Weighted average maturity.