A weekly update on the latest “no-fluff” insight and analysis of the energy industry.
NextEra’s landmark utility merger leads this week’s Energy Market Wrap, alongside Permian dealmaking, LNG expansion and rising infrastructure investment.
Prime shale inventory is getting harder to find and more expensive to acquire. The mineral acquisition market is more competitive than it has ever been. Enverus Evaluate and Acquire brings together forecasting, inventory modeling and economic valuation in one connected...
Analysis of Brent crude price impact Strait of Hormuz Canadian energy and why Canada has supply leverage amid geopolitical risk.
MARC is where the minerals and royalty world comes to compare notes. This year, I came away with a clear sense that the macro environment is finally forcing the conversations the industry has been putting off — inventory quality, capital...
Deals, IPO activity and LNG growth drive this week’s Energy Market Wrap, alongside rising oil output, midstream expansion and continued carbon project challenges.
In the oil and gas industry, automated clearing house (ACH) fraud and change-of-bank scams create real exposure on both sides of a royalty payment. For operators, a fraudulent account update can mean sending funds to the wrong place — and...
For years, natural gas pipelines were a straightforward asset class — stable throughput, predictable demand, reliable returns. That’s changing fast. The AI boom is driving a surge in power demand that’s reshaping how gas moves through the U.S. interstate pipeline...
As we head into a new coincident peak (CP) season across North America, it is a great time to revisit what CP programs are, how they work across major ISOs, and how Enverus performed during last summer’s season. What Is...
Western buys Brazos for $1.6B, Keyera pushes its Plains deal, Expro adds MPD tech, Chevron holds steady, and Exxon expects tight markets to persist.
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