Risk management in oil and gas companies in Russia and abroad

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The field of risk management is becoming increasingly interesting for researchers, as it is necessary to adapt risk management to different areas of activity, including in the oil and gas industry. Particular attention is drawn to risk assessment models, which become relevant due to the fact that they give the researcher a quantitative measurement of any risk. The essence of the study is that based on the analysis of the risk assessment models used, recommendations in risk management for Russian oil and gas companies, including Gazprom Neft, have been formulated. The recommendations are presented using the scientific approach of risk analysis, using automated monitoring and risk analysis systems. The main results of the study are that when using regression models, it is possible to determine the factor that most affects the revenue of an oil and gas company. And, therefore, it gives direction within the framework of risk management of an oil and gas company. In addition, the experience of risk management in foreign oil and gas companies was studied, which allowed us to recommend Russian companies to use scenario planning, quantitative risk modeling and the Monte Carlo method in risk management.

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Risk, oil, gas, risk management, analysis

Короткий адрес: https://sciup.org/170194884

IDR: 170194884   |   DOI: 10.24412/2500-1000-2022-6-3-227-233

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