Disclosures about market risk
Quantitative and qualitative disclosures about market risk
StatoilHydro uses financial instruments to manage commodity price risks, interest rate risks, currency risks and liquidty and funding risks, and significant amounts of assets and liabilities are accounted for as financial instruments.
See note 29 Financial instruments by category to the consolidated financial statements for details of the nature and extent of such positions, and note 30 Financial instruments and hedging for qualitative and quantitative disclosures of the risks associated with these instruments.