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Low-carbon investment by oil majors has historically generated lower volatility and lower returns relative to capital directed at oil and gas projects. How will further decarbonization pressures influence the portfolio choices and returns expectations of the world’s largest traditional energy companies? EnergyCents welcomes back S&P Global Research Director Chris DeLucia, an expert in oil and gas portfolio strategy, this week to share results of his recent analysis of oil majors’ sector-specific returns, and what to expect in the future as firms balance climate and financial goals.