A consistent strategy for success.

Our goal is to manage our oil and natural gas properties to generate cash flows and distributions for the long-term benefit of our unitholders and employees.  To do this we work to:

  • Maximize asset value and cash flow stability through our operating and technical expertise

  • Maintain focus on controlling the costs of our operations

  • Maintain conservative levels of indebtedness to reduce risk and facilitate acquisition opportunities

  • Pursue alternatives to further realize value of our undeveloped acreage
  • Pursue acquisitions of long-lived producing oil and natural gas properties with relatively low decline rates, predictable production profiles, and low-risk development opportunities

  • Reduce cash flow volatility and exposure to commodity price and interest rate risk through commodity price and interest rate derivatives