Less Ads, More Data, More Tools Register for FREE

Pin to quick picksOEX.L Regulatory News (OEX)

  • There is currently no data for OEX

Appendix 5B

23 Jul 2009 10:29

Listing Rule 5.3Appendix 5B Mining exploration entity quarterly report

Introduced 1/7/96. Origin: Appendix 8. Amended 1/7/97, 1/7/98, 30/9/2001.

Name of entityOILEX LTDABN Quarter ended ("current quarter") 50 078 652 632 30 JUNE 2009

Consolidated statement of cash flows

Current quarter Year to date (12 months)

Cash flows related to operating activities $A'000 $A'000

1.1 Receipts from product sales and related 922 2,056 debtors1.2 Payments for (a) exploration and (1,340) (26,332) evaluation (746) (2,632) (b) development (193) (911) (c) production (478) (3,922) (d) administration (net)1.3 Dividends received - -1.4 Interest and other items of a similar 38 802 nature received1.5 Interest and other costs of finance paid - -1.6 Income taxes paid - -1.7 Other (provide details if material) - - Net Operating Cash Flows (1,797) (30,939) Cash flows related to investing activities1.8 Payment for purchases of: (a) prospects - (4,128) (b) equity investments - - (c) other fixed assets - (192)1.9 Proceeds from sale of: (a) prospects - - (b) equity investments - 1,825 (c) other fixed assets 5 51.10 Loans to other entities - -1.11 Loans repaid by other entities 349 1,7741.12 Other (provide details if material) - - Net investing cash flows 354 (716)

1.13 Total operating and investing cash flows (1,443) (31,655)

(carried forward)

1.13 Total operating and investing (1,443) (31,655)

cash flows (brought forward)

Cash flows related to financing

activities

1.14 Proceeds from issues of shares, - 9,366 options, etc1.15 Proceeds from sale of forfeited - -

shares

1.16 Proceeds from borrowings (net) - -1.17 Repayment of borrowings - -1.18 Dividends paid - -1.19 Other (provide details if 20 - material) Net financing cash flows 20 9,366 Net increase (decrease) in cash (1,423) (22,289) held 1.20 Cash at beginning of quarter/year 12,635 33,487 to date1.21 Exchange rate adjustments to item (706) (692)

1.20

1.22 Cash at end of quarter 10,506 10,506

Payments to directors of the entity and associates of the directors

Payments to related entities of the entity and associates of the relatedentities Current quarter $A'000 1.23 Aggregate amount of payments to the parties 227

included in item 1.2

1.24 Aggregate amount of loans to the parties included

in item 1.10

1.25 Explanation necessary for an understanding of the transactions

Non-cash financing and investing activities

2.1 Details of financing and investing transactions which have had a

material effect on consolidated assets and liabilities but did not involve cash flows N/A

2.2 Details of outlays made by other entities to establish or increase

their share in projects in which the reporting entity has an interest

N/A

Financing facilities available

Add notes as necessary for an understanding of the position.

Amount available Amount used $A'000 $A'0003.1 Loan facilities - -3.2 Credit standby arrangements - -

Estimated cash outflows for next quarter

$A'0004.1 Exploration and evaluation 1,0004.2 Development - Total 1,000

Reconciliation of cash

Reconciliation of cash at the end of the Current quarter Previous quarter quarter (as shown in the consolidated statement of cash flows) to the related

$A'000 $A'000

items in the accounts is as follows.

5.1 Cash on hand and at bank 9,297 11,3645.2 Deposits at call 1,209 1,2715.3 Bank overdraft - -5.4 Other (provide details) - - Total: cash at end of quarter 10,506 12,635 (item 1.22)

Changes in interests in mining tenements

Tenement Nature of Interest Interest reference interest at at end beginning of quarter (note (2)) of quarter 6.1 Interests in mining tenements relinquished, Refer to Permit reduced or lapsed Schedule in Quarterly Report 6.2 Interests in Refer to Permit mining tenements Schedule in acquired or Quarterly Report increased

Issued and quoted securities at end of current quarter

Description includes rate of interest and any redemption or conversion rights together with prices and dates.

Total number Number quoted Issue price Amount paid per security up per security7.1 Preference +securities - - - - (description)7.2 Changes during quarter - - - - (a) Increases through issues (b) Decreases through returns of capital, buy-backs, redemptions7.3 +Ordinary securities 176,054,885 176,054,885 Various -7.4 Changes during quarter (a) Increases through - - - issues (options exercised) (b) Decreases through returns of capital, - - buy-backs7.5 +Convertible debt - - - -

securities (description)

7.6 Changes during quarter - - - - (a) Increases through issues (b) Decreases through securities matured, converted7.7 Options Exercise Expiry date price (description and 775,000 - $0.50 31/07/2009 conversion factor) 775,000 - $0.65 31/07/2009 500,000 - $1.50 31/10/2009 500,000 - $1.75 31/10/2009 4,250,000 - $0.80 14/12/2009 500,000 - $1.00 31/12/2009 3,000,000 - $1.50 31/12/2009 450,000 - $1.40 31/01/2010 400,000 - $2.00 31/01/2010 4,500,000 - $0.50 31/03/2010 300,000 - $1.75 31/03/2010 350,000 - $1.60 30/04/2010 350,000 - $2.10 30/04/2010 775,000 - $0.90 31/07/2010 500,000 - $2.00 31/10/2010 400,000 - $2.50 31/01/2011 2,500,000 - $2.00 31/03/2011 300,000 - $2.25 31/03/2011 350,000 - $2.70 30/04/2011 900,000 - $1.75 30/06/2011 900,000 - $2.25 30/06/2011 3,900,000 - $2.00 1/07/2011 3,900,000 - $2.50 1/07/2011 500,000 - $1.57 30/09/2011 300,000 - $2.75 31/03/2012 900,000 - $2.75 30/06/2012

Issued and quoted securities at end of current quarter (cont'd)

Description includes rate of interest and any redemption or conversion rights together with prices and dates.

Total number Number quoted Issue price Amount paid per security up per security 2006 Performance Rights 60,000 Tranche 1 expire 1/07/2011 178,000 Tranche 2 expire 1/07/2011 173,000 Tranche 3 expire 1/07/2011 2007 Performance Rights 120,000 Tranche 1 expire 1/07/2012 120,000 Tranche 2 expire 1/07/2012 120,000 Tranche 3 expire 1/07/2012 2008 Performance Rights 84,000 Tranche 1 expire 1/07/2013 35,000 Tranche 2 expire 1/07/2013 36,000 Tranche 3 expire 1/07/20137.8 Issued during - - - - quarter7.9 Exercised during quarter7.10 Expired during 151,000 - - - quarter 7.11 Debentures Nil Nil (totals only)7.12 Unsecured notes Nil Nil (totals only)Compliance statement

1 This statement has been prepared under accounting policies which comply with accounting standards as defined in the Corporations Act or other standards acceptable to ASX.

2 This statement does give a true and fair view of the matters disclosed.

Sign here: Date: 23 July 2009(Director)Print name: Ben Clube == == == == ==

vendor
Date   Source Headline
7th Aug 20209:32 amRNSTermination of JPDA Arbitration Proceedings
31st Jul 202011:07 amRNSJune 2020 Quarterly Report
31st Jul 202010:45 amRNSLoan Restructure and Equity Issue
30th Jul 20209:00 amRNSManaging Director Contract Extension
27th Jul 20207:00 amRNSWest Kampar Update
17th Jul 20207:07 amRNSIssue of Securities
30th Jun 202010:40 amRNSSuccessful Bid for Cooper Basin Permit
30th Jun 20208:17 amRNSResults of General Meeting
30th Jun 20208:11 amRNSExecutive Director Contract Extension
30th Jun 20208:05 amRNSChange of Registered Office
29th Jun 20207:00 amRNSIndia Update
15th Jun 202010:28 amRNSChange to Notice of Meeting
15th Jun 20207:56 amRNSArmour Share Purchase Agreement
5th Jun 202011:52 amRNSExtension to Armour Agreement
3rd Jun 20201:14 pmRNSNotice of Change of Interest of Substantial Holder
1st Jun 20207:15 amRNSExtension to Armour Agreement
29th May 20207:00 amRNSNotice of General Meeting
27th May 20209:28 amRNSSale of Cooper Eromanga Basin Assets
26th May 20207:00 amRNSNotice of Change of Interest of Substantial Holder
15th May 20207:00 amRNSIssue of Securities
6th May 20207:00 amRNSAppendix 3Z B Lingo
6th May 20207:00 amRNSReplacement Appendix 5B
5th May 20208:36 amRNSBoard Changes
30th Apr 20209:16 amRNSMarch 2020 Quarterly Report
28th Apr 20204:41 pmRNSSecond Price Monitoring Extn
28th Apr 20204:35 pmRNSPrice Monitoring Extension
28th Apr 202011:02 amRNSCooper Basin Update
27th Apr 20207:14 amRNSCorrection: Variation to Financing Terms
23rd Apr 20201:45 pmRNSVariation to Financing Terms
3rd Apr 20207:00 amRNSExtension for Acquisition of Cooper Licences
3rd Apr 20207:00 amRNSChairman Consulting Contract Extension
26th Mar 20207:32 amRNSAppendix 3X Mark Bolton
26th Mar 20207:00 amRNSBoard and Executive Changes
24th Mar 20207:30 amRNSDoriemus Transaction - Update
16th Mar 20207:15 amRNSInterim Report 31 December 2019
16th Mar 20207:00 amRNSBusiness and Financial Restructure
12th Mar 20207:00 amRNSDoriemus Shareholders Approve Transaction
6th Mar 20207:15 amRNSOpportunity to Participate in Doriemus Offer
3rd Mar 202012:24 pmRNSUpdate on Cambay Sale Process
28th Feb 20209:29 amRNSExtension for Acquisition of Cooper Basin Licences
21st Feb 20207:30 amRNSStrong Funding Support for Cooper-Eromanga
11th Feb 20207:00 amRNSChairman Consulting Contract Extension
4th Feb 20207:00 amRNSAppendix 3B: Issue of Securities
3rd Feb 20202:23 pmRNSNew Series C Loan Facility
31st Jan 20208:17 amRNSDecember 2019 Quarterly Report
30th Jan 20207:00 amRNSDOR - Prop Acqn of Major Cooper-Eromanga Portfolio
29th Jan 202010:39 amRNSSale of Cooper Eromanga Basin Assets
28th Jan 20207:00 amRNSSale of Participating Interest in Bhandut
17th Jan 20202:05 pmRNSUpdate on Cambay Sale Process
7th Jan 20207:34 amRNSNotice of Change of Interest of Substantial Holder

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.