A model on the spot-futures no-arbitrage relations in commodity markets
Aïd, René; Campi, Luciano; Lautier, Delphine (2019), A model on the spot-futures no-arbitrage relations in commodity markets, in J. Chevallier, S. Goutte, D. Guerreiro, S. Saglio and B. Sanhaji, Financial Mathematics, Volatility and Covariance Modelling, Routledge, p. 170-190
Type
Chapitre d'ouvrageDate
2019Book title
Financial Mathematics, Volatility and Covariance ModellingBook author
J. Chevallier, S. Goutte, D. Guerreiro, S. Saglio and B. SanhajiPublisher
Routledge
ISBN
9781138060944
Pages
170-190
Metadata
Show full item recordAuthor(s)
Aïd, RenéLaboratoire d'Economie de Dauphine [LEDa]
Campi, Luciano
Lautier, Delphine
Dauphine Recherches en Management [DRM]
Abstract (EN)
In commodity markets the convergence of futures towards spot prices, at the expiration of the contract, is usually justified by no-arbitrage arguments. In this article, we propose an alternative approach that relies on the expected profit maximization problem of an agent, producing and storing a commodity while trading in the associated futures contracts. In this framework, the relation between the spot and the futures prices holds through the well-posedness of the maximization problem. We show that the futures price can still be seen as the risk-neutral expectation of the spot price at maturity and we propose an explicit formula for the forward volatility. Moreover, we provide an heuristic analysis of the optimal solution for the production/storage/trading problem, in a Markovian setting. This approach is particularly interesting in the case of energy commodities, like electricity: this framework indeed remains suitable for commodities characterized by storability constraints, when standard no-arbitrage arguments cannot be safely applied.Subjects / Keywords
Futures contracts; no-arbitrage relation; commodity; production; storage; energy; C32; G13; Q4; Q02Related items
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