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3rd Quarter Results

9 Nov 2016 07:00

RNS Number : 7129O
OMV Petrom S.A.
09 November 2016
 

OMV Petrom Group: results for Q3 and January - September 2016

including interim condensed consolidated financial statements as of and for the period ended September 30, 2016

 

 

Q3/16

- Free cash flow at RON 1.1 bn, based on capex prioritization and very good operational performance

- Clean CCS EBIT at RON 602 mn, supported by Downstream contribution

- Upstream production at 174 kboe/d; OPEX at 11.3 USD/boe, reflecting efficiency measures

- Downstream Oil: high refinery utilization rate and good retail sales volumes

- Downstream Gas: high gas and power sales, challenging gas market

 

Mariana Gheorghe, CEO of OMV Petrom S.A.: 

"In the context of weak oil and gas prices and significantly reduced refining margins vs. previous year, OMV Petrom's efforts focused on operational resilience and delivered good results. In Q3/16, we continued with CAPEX prioritization and strict cost discipline, which translated into a RON 1.1 bn free cash flow. Our constant focus on the most profitable barrels led us to revisit the CAPEX guidance for 2016, from EUR 0.7 bn to EUR 0.6 bn (-30% yoy).

In Upstream, the reduction in production costs and exploration expenses partly compensated the weak prices. The Downstream contribution to Group result was very strong, driven by good operational performance of both Downstream Oil and Downstream Gas, despite a challenging market environment. As a result of all our efforts, OMV Petrom delivered a clean CCS EBIT of RON 602 mn and a sound operating cash flow of RON 1.6 bn in Q3/16.

On 20 October 2016, the sale by Fondul Proprietatea of a 6.4% stake in OMV Petrom (in the form of shares and GDRs) was closed and led to an increase of our free float to 15.8%. On the same day, OMV Petrom's GDRs started trading on the London Stock Exchange."

 

 

 

Q2/16

Q3/16

Q3/15

Δ%

Key performance indicators (in RON mn)

9m/16

9m/15

Δ%

218

573

34

n.m.

EBIT

1,134

1,315

(14)

229

602

1,061

(43)

Clean CCS EBIT

1,240

2,312

(46)

118

473

(43)

n.m.

Net income / (loss) attributable to stockholders

882

999

(12)

127

442

820

(46)

Clean CCS net income attributable to stockholders

899

1,733

(48)

0.0021

0.0084

(0.0008)

n.m.

EPS (RON)

0.0156

0.0176

(12)

0.0022

0.0078

0.0145

(46)

Clean CCS EPS (RON)

0.0159

0.0306

(48)

883

1,613

1,729

(7)

Cash flow from operating activities

3,384

4,179

(19)

130

1,115

719

55

Free cash flow after dividends

1,126

(333)

n.m.

 

 

The full Q3 and January - September report is available on company's website at: http://www.omvpetrom.com/portal/01/petromcom/petromcom/home/Relatia_cu_investitorii/Rapoarte_si_prezentari_pentru_investitori/Rapoarte_Interimare

 

 Click on, or paste the following link into your web browser, to view the associated PDF document. http://www.rns-pdf.londonstockexchange.com/rns/7129O_-2016-11-9.pdf

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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