$3,429.30 – $5,143.95

Petroleum Risk Analysis & Portfolio Management

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Kuala Lumpur

Kuala Lumpur, Federal Territory of Kuala Lumpur

Malaysia

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No Refunds

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Description

About This Course

The Petroleum Risk Analysis and Portfolio Management course offers tools and practical techniques to identify, analyse and manage uncertainties and risk in exploration and production projects.

Learning is reinforced by working on case material to explore uncertainties and risks in the context of production forecasting, cash-flow management, incremental projects and asset portfolio manipulation.

Monte Carlo modelling and Decision Tree analysis software are employed during the course to develop practical skills in risk and portfolio management.

Why You Should Attend

This 4-Day training course offers participants the opportunity to explore these challenges, including hands-on application of industry-standard tools and techniques to assess realistic scenarios and associated data. The essential commercial drivers are held in perspective at all times.

About the Trainer

David Palmer

David Palmer has been a career commercial specialist and frontline E&P Commercial Manager, with nearly 40 years’ continuous involvement in economics and business management, mostly within upstream oil. Following a degree in quantitative economics and finance, an early career in regional economic planning gave way to business analysis roles in the UK State Oil Company BNOC, and mainstream commercial management in the privatized ‘Britoil’.

Register now to enjoy our Early Bird Promo & 3 for 2 Bundle Offer while it lasts.

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Date and Time

Location

Kuala Lumpur

Kuala Lumpur, Federal Territory of Kuala Lumpur

Malaysia

View Map

Refund Policy

No Refunds

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