RNS Number : 5985N
OMV Petrom S.A.
10 August 2017
 

OMV Petrom Group: results for Q2 and January - June 2017

including interim condensed consolidated financial statements as of and for the period ended June 30, 2017

 

Highlights Q2/17

u Strong free cash flow after dividends of RON 397 mn

u Clean CCS Operating Result at RON 892 mn, equally contributed by Upstream and Downstream

u Excellent clean CCS EPS at RON 0.0122

 

 

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

"In the first six months of 2017, we converted favorable market conditions into solid operational and financial performance. We were supported by increased oil prices, strong refining margins and higher demand for all our products. In addition, we continued our strict cost discipline. As a result, our 6m/17 Clean CCS Operating Result reached RON 1.66 bn, with both Upstream and Downstream showing significant increases. In Upstream, further reduced production cost per barrel fully offset the production decline. Downstream Clean CCS Operating Result increased by 70% yoy on better contributions from both Oil and Gas. Operating cash flow of RON 3 bn, up 68% yoy, combined with CAPEX reduction and RON 0.8 bn dividend payment, led to a free cash flow after dividends of RON 1 bn.

We revised down our 2017 CAPEX guidance to EUR 0.7 bn from EUR 0.8 bn, due to wells portfolio optimizations, savings and project revisions; nevertheless, we are prepared for a ramp up in investments in the second half of 2017, especially given our strong balance sheet. We maintained the guidance for the daily average production decline of around 3% yoy, not including portfolio optimization initiatives.

In July, we signed the contract for the sale of Dorobantu wind park, as part of our strategy to focus on core activities. In addition, we resumed operations at the Brazi power plant, at half capacity, on July 5.

On August 1, the transfer of 19 marginal fields took place. A new round of divestments was initiated in line with our strategic direction of value over volume."

 

Q2/17

Q1/17

Q2/16

Δ%

Key performance indicators

(in RON mn)

6m/17

6m/16

Δ%

892

767

231

285

Clean CCS Operating Result

1,659

643

158

779

798

220

254

Operating Result

1,577

566

179

690

586

127

443

Clean CCS net income attributable to stockholders

1,276

458

179

592

619

118

403

Net income attributable to stockholders

1,210

408

196

0.0122

0.0103

0.0022

443

Clean CCS EPS (RON)

0.0225

0.0081

179

0.0104

0.0109

0.0021

403

Earnings Per Share (RON)

0.0214

0.0072

196

1,714

1,262

883

94

Cash flow from operating activities

2,976

1,771

68

397

646

130

205

Free cash flow after dividends

1,043

12

n.m.

 

OMV Petrom will organize a live presentation of the Q2/2017 results on August 10, 2017, starting 3.00pm (local time) / 2.00pm (CEST) / 1.00pm (BST). The presentation will last approximately 30 minutes, followed by a Q&A session, and will be hosted by:

·      Mariana Gheorghe, President of the Executive Board & CEO

·      Stefan Waldner, Executive Board Member & CFO

The presentation will be held in English and will be broadcasted through a live audio webcast, which can be accessed from the company's website, www.omvpetrom.com, section OMV Petrom › Investor Relations › Financial calendar and events › Quarterly publications.

 

 

 

Click on, or paste the following link into your web browser, to view the associated PDF document.

http://www.rns-pdf.londonstockexchange.com/rns/5985N_-2017-8-10.pdf

 


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