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Managing oil and gas portfolios in uncertain markets

机译:在不确定的市场中管理石油和天然气投资组合

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摘要

The need to rationalize and optimize portfolios has never been greater as emerging markets open up to foreign investment against a backdrop of uncertainty and constrained capital markets. Portfolio management provides oil and gas companies with a bridge between corporate strategy and operational planning. It allows companies to be more proactive and responsive to changing market and operational realities at each stage in the asset life cycle and at every level in the organization, from corporate planners to asset teams.
机译:随着新兴市场在不确定性和资本市场受限的背景下向外国投资开放,对资产组合进行合理化和优化的需求从未如此迫切。项目组合管理为石油和天然气公司提供了公司战略与运营计划之间的桥梁。它使公司在资产生命周期的每个阶段以及从组织计划人员到资产团队的组织的每个层次上,都能对市场和运营现实的变化做出更积极主动的反应。

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