Welcome to the Veson Nautical Knowledge Base. In the Help Center, you can view the same articles and contact support as needed.
Trading & Risk FAQs
- Why do I see exposure in the Trading P&L Summary for months that do not have planned liftings?
- Will COA liftings with a status of "inquiry" be taken into account when IMOS calculates exposure for the Trading P&L Summary?
- Why does the Rate field for a Cargo contract in the Trade Details Drilldown report not match the Net Daily TCE in the linked Benchmark Estimate?
- What causes the "invalid culture identifier" error in downloading the Trade Details List?
- Why do I not see Unrealized P&L, Realized P&L, and Total P&L values in the list view?
- Why is a vessel being displayed under the Cargo Contract as well as TCI Contracts in the Trading P&L Summary Exposure Report?
- How to Enter Two Linked Cargos for the same Trade Period?
- Allocating Carbon Allowance Invoice to Companies Based on Settlement and Match Types
- How to fetch specific contracts when running Trading Exposure reports
- Why are the PnL values in the Trading lists empty?
- Why changes to volatility values in Market Data do not trigger automatic recalculation of P&L value for FFA Options?