Assets and Asset Optimisation

To be successful in increasingly competitive European markets, energy companies are striving to gain maximum value from a wide-ranging portfolio of assets.  From power generation and gas storage, to customer portfolios and structured contracts, each asset class provides its own opportunities and constraints.

Optimising this diverse portfolio in a coordinated way, while managing the unique risks each asset presents, is a significant and exciting challenge.  Our clients are constantly seeking new ways to exploit the particular characteristics of their portfolios.

Baringa Partners has extensive experience with many of the leading asset-backed trading organisations in the major European and global markets, delivering market-leading solutions that cover the full range of asset classes.  Our services include:

  • Definition of asset-backed trading and risk management strategies
  • Organisational design and performance framework definition
  • Delivery of commercial capabilities for newly commissioned power generation and gas assets
  • Cross-portfolio asset modelling and optimisation
  • Risk management and analytics for asset-backed portfolios
  • Scheduling and market interface solutions for power, gas and fuels
  • Generation dispatch and control
  • Asset performance management and reporting