CODE: OG23
DURATION: 5 Days/10 Days
CERTIFICATIONS: CPD
The course Advanced Strategies in Oil and Gas Economics & Asset Management provides an in-depth exploration of the financial, economic, and strategic frameworks that drive decision-making in the global oil and gas sector. It emphasizes advanced methodologies for evaluating investments, managing assets across the energy value chain, and optimizing portfolio performance under volatile market conditions. Participants will gain insights into price forecasting, risk management, capital allocation, and sustainable value creation in a rapidly evolving energy landscape.
This course is available in the following formats:
Virtual
Classroom
Request this course in a different delivery format.
Course Outcomes
Delegates will gain the knowledge and skills to:
Apply advanced economic models to evaluate oil and gas projects under uncertainty.
Develop strategies for effective asset and portfolio management across upstream, midstream, and downstream operations.
Assess and mitigate risks associated with price volatility, geopolitical shifts, and regulatory changes.
Integrate sustainability and energy transition considerations into asset and investment strategies.
Strengthen decision-making through scenario planning, sensitivity analysis, and strategic capital deployment.
At the end of this course, you’ll understand:
This program is designed for mid- to senior-level professionals working in oil and gas companies, energy investment firms, financial institutions, consulting, and government agencies. It is particularly suited for asset managers, project economists, financial analysts, strategy leaders, and technical professionals who are involved in high-level decision-making and wish to deepen their understanding of economic drivers and asset management strategies in the sector.
✓ Modern facilities
✓ Course materials and certificate
✓ Accredited international trainers
✓ Training materials and workbook
✓ Access to online resources
4 weeks ago
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