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卡塔尔油气上游领域的投资风险及策略分析

Analysis on Investment Risk and Strategy of Upstream Fields of Oil and Gas in Qatar
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摘要 卡塔尔作为“一带一路”支点之一,是全球主要的石油和天然气生产大国之一,也是全球第二大液化天然气出口国。2017年6月海湾危机出现,一系列的封锁、禁运和制裁政策使卡塔尔陷入困境。2019年1月,卡塔尔更是宣布退出石油输出国组织(OPEC)。文章基于此情景对卡塔尔油气资源上游领域的投资环境进行分析,对中国公司进入其油气上游领域的投资风险进行评估并提出建议。 As one of the“One Belt And One Road”countries,Qatar is one of the world’s major oil and gas producers and the world's second largest exporter of liquefied natural gas.With the emergence of the Gulf crisis in June 2017,the series of blockades,embargoes and sanctions policies left Qatar in trouble.In January 2019,Qatar announced its withdrawal from OPEC.Based on the current situation of Qatar,this paper analyzed the investment risks and opportunities of the upstream fields of oil and gas in Qatar,and raised suggestions for Chinese companies to enter the upstream fields of oil and gas in Qatar.
作者 董晓芹 Dong Xiaoqin(SINOPEC Petroleum Exploration and Development Research Institute,Beijing 100083)
出处 《石油化工技术与经济》 2020年第4期1-4,40,共5页 Technology & Economics in Petrochemicals
关键词 卡塔尔 油气上游 投资风险 机会 Qatar upstream investment risk opportunity
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