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I3 Energy PLC Announces Q2 2024 Operational and Financial Results

I3 Energy PLC Announces Q2 2024 Operational and Financial Results

I3能源有限公司宣布Q2 2024年度业务和财务结果
Accesswire ·  08/13 05:30

Q2 2024 Operational and Financial Results

2024年第二季度业务和财务结果

EASTLEIGH, UK / ACCESSWIRE / August 13, 2024 / i3 Energy plc (AIM:I3E)(TSX:ITE), an independent oil and gas company with assets and operations in the UK and Canada, is pleased to announce its operating and financial results for the three and six months ended 30 June 2024. i3's unaudited condensed interim financial statements for the three and six months ended 30 June 2024 and related Management's Discussion and Analysis ("MD&A") are available on i3 Energy's website at and filed on SEDAR+.

英国EASTLEIGH / ACCESSWIRE / 2024年8月13日 / 独立石油天然气公司i3 Energy plc (AIM:I3E)(tsx:ITE)在英国和加拿大拥有资产和业务。公司很高兴公布截至2024年6月30日三个和六个月的运营和财务结果。i3的未经审计的为期三个和六个月截至2024年6月30日的简化中期财务报告和相关的管理层讨论与分析(MD&A)可访问i3 Energy的网站,并在SEDAR+上提交。

Highlights:

亮点:

  • i3 entered into a definitive agreement to sell most of the Company's royalty assets (the "Royalty Disposition") for a total gross cash consideration of USD 24.81 million (CAD 33.50 million) before customary closing adjustments, which at the time of Closing translated to 6.9 times 2024 forecasted cash flow and approximately USD 63,960 per flowing boepd

  • Free cash flow (FCF)(1) for Q2 2024 was USD 28.5 million fuelled by the aforementioned Royalty Disposition and certain property divestments in the quarter.

  • 3 posted a profit before tax of USD 24.4 million during Q2 2024 and net cash flow from operating activities of USD 7.6 million for same period.

  • Achieved an average Q2 2024 production of 18,271 barrels of oil equivalent per day ("boepd"), despite the sale of ~415 boepd and management of several scheduled and unscheduled production outages.

  • The Company further closed the accretive disposition of a non-core, non-operated, shallow dry gas focussed Northern Alberta asset (Hangingstone), along with two non-producing, non-core mineral rights divestments, for total realized proceeds of USD 2.75 million.

  • At 30 June 2024 i3 was undrawn on its credit facility, posting a net cash surplus(1) of USD 6.96 million and i3 is pleased to announce a successful borrowing base redetermination at the original CAD 75 million.

  • As part of i3's commitment to its total shareholder return model, Q1 2024 dividends of £3.084 million (USD 3.890 million) were declared and paid in Q2 2024.

  • i3达成有限协议,将大部分公司的专属权益资产("Royalty Disposition")出售,总毛现金考虑额为2481万美元(3350万加元),在惯例结算调整前,该交易相当于6.9倍的2024年预计现金流和每个流动boepd近63960美元。

  • 2024年第二季度自由现金流(FCF)为2850万美元,得益于上述权益转让和该季度某些财产清算。

  • 2024年第二季度税前利润为2440万美元,同期经营活动净现金流为760万美元。

  • 尽管出售了约415个boepd和管理了几个计划和非计划产量停机,但平均2024年第二季度产量达到18271桶油当量每日("boepd")。

  • 公司进一步关闭了北阿尔伯塔省浅层干燥气聚焦北部资产(Hangingstone)的增值处置,以及两个未生产,非核心矿权处置,总实现收益为275万美元。

  • 截至2024年6月30日,i3在其信贷设施上未使用,净现金余额为696万美元,i3很高兴宣布,其原始7500万加元的借款基础经过成功的借款基础重估。

  • 作为i3致力于其总股东回报模型的一部分,2024年第一季度分红达到308.4万英镑(389万美元),并于2024年第二季度宣布和支付。

Majid Shafiq, CEO of i3 Energy plc, commented:

i3 Energy plc首席执行官Majid Shafiq评论道:

"Q2 2024 was a very busy period for the Company as we completed the strengthening of our balance sheet through the highly accretive sale of the majority of our royalty interests and the refinancing of our outstanding debt with a revolving non-amortising reserves-based loan. This corporate activity essentially made i3 debt free and created significant liquidity to finance our development program.

"2024年第二季度是公司非常忙碌的时期,我们通过大部分专属权益的高毛额销售以及用循环的非摊销基于储备的贷款清偿未偿债务,加强了我们的资产负债表。这家公司的活动基本上使i3无债务并创造了重大的流动性,以用于我们的开发计划。

We are very pleased to announce the successful semi-annual redetermination of our reserves-based borrowing facility, achieved in a lower commodity price environment which demonstrates the quality of our resource and asset base. Our production assets continue to perform robustly, and we are pleased to reconfirm existing production and EBITDA guidance for the year, which is a result of the Company's stable, low-decline, production profile and a rigorously enforced hedging programme.

我们非常高兴地宣布,我们的借款基础半年重估取得了成功。在较低的大宗商品价格环境中取得了成功,这证明了我们的资源和资产基础的质量。我们的生产资产继续表现强劲,我们很高兴再次确认全年的生产和EBITDA指导方针,这是该公司稳定,低降速,生产概况和严格执行的套期保值计划的结果。

With a solid half year behind us, we now look forward to our H2 focussed development and drilling programme which has already commenced with the successful drilling of our first operated well in Central Alberta. Our team will be busy during the second half of the year with back-to-back drilling across our portfolio, which will set the Company up for the commencement of our Montney development drilling in Q1 2025 for which we now are evaluating asset backed debt financing solutions to accelerate development."

我们已经度过了一个坚实的半年,现在我们期待着我们的下半年的集中式开发和钻井计划,该计划已经开始,成功地在阿尔伯塔省中部钻井了我们的第一口操作井。我们的团队将在今年下半年忙于整个投资组合的反向钻井,这将为公司在2025年第一季度开始我们的蒙特尼开发钻井做好准备,以加速开发的资产支持型债务融资解决方案。"

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SOURCE: i3 Energy PLC

来源:i3能源股份有限公司


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