PCL pancontinental energy nl

General Thoughts, page-7788

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    If I were an ASX trader looking at Woodside's position in Namibia’s Orange Basin, I'd be weighing a few key factors:

    1. Woodside’s Strategic Approach

    Woodside is known for being conservative with capital allocation, prioritizing high-return projects. Given the uncertainty in Namibia—where some early exploration results have been promising (TotalEnergies, Shell) but others have been written down (Shell, Chevron)—there's a strong chance that Woodside:

    • Delays a final decision until closer to the May 2025 deadline.
    • Seeks a farm-down or JV partner to share costs if they proceed.
    • Pushes for a license extension without drilling in 2026, citing technical studies or seismic analysis to justify it.

    2. Namibian Government’s Stance

    Namibia is pro-investment, but they’re not handing out indefinite extensions without commitments. They’ll likely push Woodside to commit to drilling, but given precedent (e.g., prior extensions granted to other explorers), Woodside could negotiate extra time if they present a solid work program.

    3. Market Sentiment & Shareholder Pressure

    • Investors have been punishing companies with high exploration CAPEX unless there's a clear path to production (see Santos’ struggles).
    • If oil prices remain steady or decline, Woodside may avoid drilling and focus on core LNG and lower-risk developments.
    • If Namibia exploration hype remains strong (e.g., TotalEnergies progresses Venus development), they might stay in for strategic positioning.

    My Prediction?

    • High chance Woodside farms in (~70% probability)—they wouldn't have signed an option if they weren’t seriously interested.
    • Medium chance of drilling by 2026 (~40%)—they might defer this, citing more studies, pushing for an extension instead.
    • High chance of share price volatility in the short term—traders will react sharply if Woodside delays or withdraws.

    If I were trading, I’d watch the May 2025 decision closely—confirmation of a farm-in could see a short-term bump, while hesitation or exit could trigger a sell-off.


 
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