The Exchange Term Structure window shows the actual exchange contracts (and the data that is available for each of them) for the dry bulk freight assets and each of the following electricity assets—UK Baseload, Germany BaseLoad and Czech BaseLoad assets.
For each supported asset:
This window is accessed by clicking the Exchange Contracts button in the asset's Term Structure window.
The system uses the data displayed in this window to derive the term structure for the asset's decomposed contracts, i.e., the monthly contracts displayed in the Term Structure window itself.
In this window you can edit the future price data.
Furthermore, if both the Term Structure page and the Exchange Term Structure page are open, any changes made to the Term Structure page can be saved to the Exchange Term Structure page (by clicking the Update button in the Exchange Term Structure page) and any changes made to the Exchange Term Structure page can be saved to the Term Structure page (by clicking the Apply button in the Exchange Term Structure page).
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Whenever you make a change to either the Term Structure page or the Exchange Term Structure page, if both the pages are open you can easily see what action to take. This is because the system lets you know what to do in the status bar in the Exchange Term Structure window. |