Risco's strategy for creating shareholder value centres on building a portfolio focused on the key deliverables of reserves growth, production output, incremental development and cash flow. Each facet of this strategy has been validated by the track record of our previous portfolio.
At Risco, we apply a strict methodology to the process of portfolio development. This five-stage cycle of continuous reserve and resource conversion is compressed into the shortest possible timeframe to maximize returns for our investors and shareholders.
A focused energy production company is more highly valued than a vertically integratd oil and gas company over the longer term.
ASEAN is our geographic area of expertise.