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Evaluate trade-offs, optimize your plans, manage uncertainty, and gain clarity around your petroleum company’s most important strategic decisions.
Aucerna Strategy and Portfolio Analysis software gives oil and gas decision-makers powerful analytical tools for evaluating decisions related to strategy development, portfolio management, risk, optimization, capital allocation and M&A.
Our cloud-based petroleum planning platform delivers clarity and insights around key business decisions, including the assessment of trade-offs and potential risk. This leads to accelerated decision-making cycles and a much faster response to changing market conditions
Companies can adapt quickly, with upstream executives able to rapidly make decisions that balance the trade-offs concerning oil and gas production, dividends, debt, cash flow, capital investments and more.
Eliminate disconnects among operational activity, strategy, and financial outcomes. Assess whether goals are achievable in the short and long term. Cascade goals, capital, and high-level budgets throughout the organization.
Evaluate investments based on their contribution to aggregate performance, and balance performance across complex portfolios with intelligent, cloud-based scenario analysis.
Easily evaluate the relative value and importance of competing capital projects. Allocate capital balancing measures of success, both short and long term.
Understand how risk and uncertainty will affect your ability to succeed. Improve the chances of meeting strategic goals by quantifying the downside exposure for all critical metrics within a given strategy.
Ensure the feasibility of strategic scenarios and assess whether goals are achievable in the short and long term. Aucerna eliminates disconnects among operation activity, strategy and financial outcomes. Cascade goals, capital and high-level budgets throughout your organization.
Balance operational and financial considerations and evaluate investments based on their contribution to aggregate performance. Balance performance across complex portfolios.
Allocate capital across a diverse portfolio by balancing measures of success, both short and long term. Evaluate the relative value and importance of competing capital projects.
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