A consistent strategy for
success.
Our goal is to
manage our oil and natural gas properties to generate cash flows and provide
stability and growth of distributions per unit for the long-term benefit of our
unitholders and employees. To do this we:
-
Pursue acquisitions of long-lived producing oil and natural gas
properties with relatively low decline rates, predictable production
profiles, and lower-risk development opportunities
-
Reduce cash flow volatility and exposure to commodity price and interest
rate risk through hedging
-
Maximize asset value and cash flow stability through our operating and
technical expertise
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Maintain focus on controlling the costs of our operations
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Maintain conservative levels of indebtedness to reduce risk and
facilitate acquisition opportunities