An Oil & Gas Journal Executive Report
by David A. Wood
This comprehensive report tells how to improve analysis of an exploration and production investment portfolio with modern, quantitative risk-management techniques. The author, a consultant who has worked in the oil and gas industry since the early 1980s, provides techniques for combining project and economic risk evaluations to produce realistic values for E&P investment portfolios. He not only describes the techniques but also shows how best to apply them under real-world conditions.
Topics included in the report:
- Three stages of risk.
- Building portfolio simulation models that link to corporate strategy.
- An example portfolio of oil and gas assets.
- Analyzing the example portfolio of projects on a pretax basis.
- Defining the pretax efficient frontier and individual project scrutiny.
- Integrating the portfolio with the corporate financial model.
- Analyzing the example portfolio of projects on a post-tax corporate basis.
- Establishing a corporate post-tax efficient frontier.
Format:
Electronic files with all text, figures and tables
OR
Print: 50 (8½ x 11-inch) softbound pages with 21 color figures and tables.
Cost: $299.00 (US) plus shipping and handling for printed product.
Product number: OGJER11
How To Order:
Phone 1.800.752.9764 or 1.918.831.9421.
Fax 1.877.218.1348 or 1.918.831.9555.
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