Risk Management

Bridge identifies risks of the energy markets and how they interface with your energy assets in order to meet your institution's risk tolerance goals.  Similar to a financial portfolio's assets, it is important to establish goals and targets, identify energy asset nuances, and determine risk tolerances.  Our process will help determine the most effective strategies to achieve those goals.

As a result of the volatility of energy markets, many buyers today are incorporating more sophisticated risk management strategies that reflect their specific appetites for risk.  Bridge works closely with our clients to help establish tolerances, quantify risks, and develop strategies designed to manage those risks as efficiently and cost effectively as possible.

Bridge provides access to the full range of energy products, including:

  • Fixed Price Requirements/Full Requirements

  • Variable or Index Prices

  • Retail and Wholesale Products

  • Heat Rate Products

  • Block Products

  • Real-time Products

  • Day Ahead Products

  • Fuel Switching Arbitrage

  • Renewable Energy Certificates (REC's)

  • Financial Products