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GHD最新研究結果顯示能源危機沖擊影響投資

   2023-06-12 互聯網綜合消息

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核心提示:據阿拉伯貿易網2023年6月7日迪拜報道,全球著名的國際化設計咨詢公司GHD于6月7日發布的一項最新研究結果顯

據阿拉伯貿易網2023年6月7日迪拜報道,全球著名的國際化設計咨詢公司GHD于6月7日發布的一項最新研究結果顯示,過去3年席卷全球的能源危機,已經造成了一場完美的、多維度的全行業沖擊風暴,其中包括嚴重削弱投資水平的資本緊縮。

“震驚”是迄今為止在能源行業領導者中開展的最大的全球民意調查結果之一,該調查顯示,94%的能源行業領導者認為當前的能源危機是他們所在市場經歷過的最嚴重危機。據能源行業的首席財務官們稱,2020年至2022年期間的投資水平估計比預計削減金額少了2030億美元。

極端的市場波動和地緣政治緊張局勢使能源安全成為全球議程中的重要議題,四分之三的能源行業領導者表示,這是他們所在企業的最大擔憂。

這種破壞對世界各地的經濟和社區產生了重大影響,能源部門提供可靠、負擔得起的低碳能源的社會壓力從未像現在這樣大。報告稱,四分之三的能源行業領導者(74%)認為能源價格是目前通貨膨脹的最大原因,76%的人認為能源危機正在降低全球的生活水平。

氣候沖擊繼續迫使能源轉型加速,但實現凈零排放的進程正受到復雜動態因素影響。42%的受訪者表示,目前的能源危機加快了受訪者所在企業的凈零排放計劃,已經比平均提前了5年;而近一半的能源行業領導者(47%)表示,能源危機使他們的凈零排放計劃平均推遲了6年。

盡管這場能源危機可能阻礙了許多公司的凈零戰略,但由此引發的天然氣價格波動推動了能源資產的多元化,70%的能源行業領導者報告稱,過去12個月天然氣價格的波動加速了他們企業對可再生能源發電資產的采用。

GHD負責英國、歐洲和中東的未來能源執行董事Tom Foley表示:“盡管阿聯酋是全球著名的石油生產國,因此不太容易受到供應沖擊的影響,但阿聯酋已經認識到多元化的重要性,并大大加強了對能源轉型項目的投資。我們的研究支持了這一點。該研究顯示,當前的全球能源危機已促使61%的阿聯酋能源公司加快投資,擴大其可再生能源組合。作為今年晚些時候即將舉行的COP28的主辦國,國際社會期望阿聯酋堅持其凈零排放的目標,并促進能源轉型?!?/p>

隨著GHD和全球能源行業領導者展望該行業的未來,令人震驚的報告確定了有助于降低能源轉型風險的五個關鍵優先事項:

*釋放資金和市場:為能源項目降低風險并釋放資本流動,需要明智的規劃、許可、政策和監管框架。

*增壓改造解決方案:將經過深思熟慮的設計原則整合到新能源基礎設施中,并對現有基礎設施進行改造,對于幫助建立系統彈性至關重要。

*仔細平衡供應鏈和資源:成功的轉型將需要獲得新的原材料流、重新配置的供應鏈和學習新技能的勞動力。

*確保社區理解和社會公眾接受:為關鍵項目贏得社會公眾接受,需要宏觀和社區層面的參與和教育。

*確保公正的過渡:無風險的過渡是公平、平衡和公正的過渡。轉型的成本必須在國家之間和社區之間公平分攤,以確保不讓任何一員掉隊。

這項研究采用了兩種核心研究方法:對450名高級能源行業決策者的定量意見研究和對行業思想領導者的10次定性訪談。這項研究集中在10個主要市場:澳大利亞、加拿大、智利、德國、新西蘭、新加坡、菲律賓、阿聯酋、英國和美國。 此外,還對巴西、埃及、印度和南非等國的能源行業領導人進行了額外采訪。

李峻 編譯自 阿拉伯貿易網

原文如下:

Energy crisis shocks impact investments: study

The energy crisis that has rocked the world over the past three years has created a perfect, multidimensional storm of sector-wide shocks including a capital crunch that has severely depleted investment levels, reveals a new research launched today by global professional services company GHD. 

Shocked, one of the largest global opinion research studies ever undertaken among energy sector leaders, reveals that 94 percent of energy leaders believe the current energy crisis is the most severe their market has ever experienced. And according to energy sector CFOs, investment levels between 2020 and 2022 were an estimated $203 billion lower than they otherwise would have been. 

Extreme market volatility and geopolitical tensions have put energy security high on the global agenda, with three-quarters of energy leaders reporting that this is the number one concern for their organisation. 

This disruption has had a significant impact on economies and communities around the world and societal pressure on the energy sector to provide reliable, affordable, low-carbon energy has never been greater. Three-quarters of energy leaders (74 per cent) believe energy prices are currently the biggest contributor to inflation, and 76 per cent say the energy crisis is reducing the standard of living across the globe, the report said.

The climate shock continues to force an acceleration of the energy transition, but progress towards net zero is being impacted by the complex dynamics at play. While 42 percent say the current energy crisis has accelerated their organisation’s net-zero plans – by an average of five years – almost half of energy leaders (47 percent) state that the crisis has decelerated their net-zero plans – by an average of six years. 

While the crisis may have put the brakes on net-zero strategies for many companies, the resulting volatility in natural gas prices has driven the diversification of energy assets, with 70 per cent of energy sector leaders reporting that the volatility in natural gas prices over the past 12 months has accelerated their business’s adoption of renewable energy generation assets.

Tom Foley, Executive Director (UK, Europe & Middle East) Future Energy at GHD, said: "Despite being a prominent global oil producer and thus less vulnerable to supply shocks, the UAE has recognised the importance of diversification and has significantly bolstered investments in energy transition projects. This is supported by our research, which has revealed that the prevailing global energy crisis has prompted 61 per cent of UAE energy companies to expedite their investments in expanding their renewable energy portfolio. As the upcoming host of COP28 later this year, there are international expectations on the nation to uphold its net zero aspirations and facilitate the energy transition.”

As GHD and global energy leaders look to the future of the industry, the Shocked report identifies five key priorities that will help de-risk the energy transition:

* Unlocking money and markets: De-risking and unlocking capital flows into energy projects will require smart planning, permitting, policy and regulatory frameworks.

* Supercharging engineered solutions: The integration of well-thoughtout design principles into new energy infrastructure and retrofitting of existing infrastructure will be critical to help build system resilince.

* Carefully balancing supply chains and resources: A successful transition will require access to new streams of raw materials, re-tooled supply chains and a (re)skilled workforce.

* Securing community understanding and social acceptance: Earning social acceptance for crucial projects will require engagement and education at both a macro and a community level.

* Ensuring a just transition: A de-risked transition is one that is fair, balanced and just. The cost of transition must be spread fairly between countries and across communities to ensure no one is left behind. 

Shocked study utilised two core research methods: quantitative opinion research among 450 senior energy sector decision-makers and 10 qualitative interviews with industry thought leaders. The study focused on 10 key markets: Australia, Canada, Chile, Germany, New Zealand, Singapore, the Philippines, the UAE, the UK and the USA. Additional interviews were conducted with leaders based in Brazil, Egypt, India and South Africa etc., it said.



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