Remora seeks to build value by:
  • Making accretive acquisitions of producing oil and gas assets with steady production profiles
  • Exploiting workover, recompletion and infill drilling opportunities across the portfolio
  • Preserving a balanced capital structure in order to provide ample financial flexibility
  • Mitigating commodity price volatility through prudent hedging
  • Utilizing risk-adjusted rate-of-return metrics to drive all investment decision making