PetroEquity Signal podcast

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Energean 01b
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Energean’s investment case spans Israel, Egypt and a wider Eastern Mediterranean portfolio.

This episode looks at the company’s producing assets, the role of Egypt, Karish and the other Israeli fields, recent reserves revisions and what they may mean for recovery and value.

We also examine the acceleration of Katlan, the capital required to fund growth and the implications of doing so while leverage remains high. The discussion then brings the portfolio, reserves, development spending and balance sheet together to assess the equity case: where the upside could come from, what the key risks are, and whether the current valuation adequately reflects both.