摘要
近年来,全球油气行业的颠覆性改变对各国石油公司的发展和能源战略的变革产生了深刻的影响。本文从低油价环境下国际油公司的应对策略和主要做法入手,分析比较四家大型国际油公司的资产优化经验,对资产优化侧重点的差异、战略导向对资产优化方向的影响以及不同资产性质下的优化策略进行了归纳分析。在此基础上对中国石油企业在低油价下如何实现效益发展给出了若干策略。
In recent years,the disruptive changes in the global oil and gas industry have had a profound impact on the development and strategies of international oil companies.The article starts from the analysis of coping strategies and main practices of four large international oil companies under the low oil price circumstance.By comparison of the experience,the different focuses for IOCs and NOCs respectively,the impact of strategic guidance on asset optimization and the tactics for assets with diverse nature are summarized.Finally,some proposals are given for how to realize the benefit development of Chinese petroleum enterprises under the current circumstances.
作者
邹倩
王克铭
ZOU Qian, WANG Keming(Research Institute of Petroleum Exploration and Development, Beijing 100083, Chin)
出处
《中国矿业》
北大核心
2018年第6期44-47,共4页
China Mining Magazine
基金
国家科技重大专项课题"海外油气投资环境评估与勘探资产评价"资助(编号:2016ZX05029-003)
关键词
低油价
国际石油公司
资产优化
经营决策
low oil price
international petroleum company
asset optimization
management decision
作者简介
邹倩(1986-),女,黑龙江大庆人,北京大学硕士,经济师;王克铭(1988-),男,山东东营人,中国石油大学硕士,工程师.