Asset Report

Repsol Oil & Gas Canada - US Mid-Continent

From

$1,700.00

You can pay by card or invoice

From

$1,700.00

You can pay by card or invoice

Get this Asset Report as part of a subscription

Enquire about subscriptions

Already have a subscription? Sign In

Further information

Pay by Invoice or Credit Card FAQs

Contact us

Submit your details to receive further information about this report.

  • An error has occurred while getting captcha image
For details on how your data is used and stored, see our Privacy Notice.
 

Report summary

Repsol is an international, integrated energy company headquartered in Spain. In North America, Repsol is committed to exploration and production of oil and natural gas. The company entered the onshore US space through a joint venture with SandRidge Energy in the Mississippi Lime Play at the end of 2011. Repsol entered the emerging Mississippi Lime Play to diversify its portfolio and gain exposure to the strategies and technologies used in the exploitation of unconventional resources.

What's included

This report contains

  • Document

    Repsol Oil & Gas Canada

    PDF 571.30 KB

  • Document

    Repsol Oil & Gas Canada

    XLS 751.50 KB

  • Document

    Repsol Oil & Gas Canada

    ZIP 1.21 MB

Table of contents

Tables and charts

This report includes 28 images and tables including:

Tables

  • Key facts: Table 1
  • Participation: Table 1
  • Production: Table 1
  • Production: Table 2
  • Development: Table 1
  • Fiscal and regulatory: Table 1
  • Cash flow
  • Economic analysis: Table 2
  • Economic analysis: Table 3
  • Reserves and resources: Table 1
  • Reserves and resources: Table 2
  • Costs: Table 1
  • Costs: Table 2
  • Operating costs
  • Costs: Table 4
  • Economic assumptions: Table 1
  • Economic assumptions: Table 2

Images

  • Sandridge operated Mississippian wells
  • Production Profile by Resource Type
  • Net Development Drilling by Resource Type (2013-2022)
  • Split of Revenues
  • Cumulative Net Cash Flow - Undiscounted
  • Cumulative Net Cash Flow - Discounted at 10.0% from January 2018
  • Remaining Revenue Distribution (Discounted at 10.0% from January 2018)
  • Remaining Present Value Sensitivities
  • Remaining 2P Reserves by Resource Type (at 01/01/2018)
  • Capital Costs by Basin 2013-2022 (US$ million)
  • Remaining PV by Basin (discounted at 10% to 01/01/2018)

Questions about this report?

  • Europe:
    +44 131 243 4699
  • Americas:
    +1 713 470 1900
  • Asia Pacific:
    +61 2 8224 8898