share_log

6-K: September 30, 2024 Unaudited Condensed Interim Financial Report

6-K: September 30, 2024 Unaudited Condensed Interim Financial Report

6-K:截至2024年9月30日未經審計的簡明中期財務報告
美股SEC公告 ·  2024/10/31 07:15

Moomoo AI 已提取核心訊息

Shell reported Q3 2024 income of $4.3 billion, up 22% from Q2 2024, driven by higher LNG volumes and favorable tax movements, despite lower refining margins and oil prices. Adjusted earnings reached $6.0 billion with strong cash flow from operations of $14.7 billion.The company maintained its quarterly dividend at $0.3440 per share and announced a new $3.5 billion share buyback program expected to complete by Q4 2024 results. Net debt decreased to $35.2 billion from $38.3 billion in Q2, with gearing ratio improving to 15.7%.For full year 2024, Shell expects cash capital expenditure to be below $22 billion. The company achieved operational milestones including FID on the Manatee gas project in Trinidad and Tobago, and signed an agreement for a 10% stake in ADNOC's Ruwais LNG project in Abu Dhabi.
Shell reported Q3 2024 income of $4.3 billion, up 22% from Q2 2024, driven by higher LNG volumes and favorable tax movements, despite lower refining margins and oil prices. Adjusted earnings reached $6.0 billion with strong cash flow from operations of $14.7 billion.The company maintained its quarterly dividend at $0.3440 per share and announced a new $3.5 billion share buyback program expected to complete by Q4 2024 results. Net debt decreased to $35.2 billion from $38.3 billion in Q2, with gearing ratio improving to 15.7%.For full year 2024, Shell expects cash capital expenditure to be below $22 billion. The company achieved operational milestones including FID on the Manatee gas project in Trinidad and Tobago, and signed an agreement for a 10% stake in ADNOC's Ruwais LNG project in Abu Dhabi.
殼牌報告2024年第三季度收入爲43億美金,比2024年第二季度增長22%,主要受益於液化天然氣(LNG)銷量增加和有利的稅收變化,儘管煉油利潤和油價下降。經過調整的收入達到了60億美金,運營現金流強勁,達到了147億美金。公司保持季度股息每股0.3440美金,並宣佈了一項新的35億美金股票回購計劃,預計將在2024年第四季度完成。淨債務從第二季度的383億美金降低至352億美金,槓桿比率改善至15.7%。對於2024年全年,殼牌預計現金資本支出將低於220億美金。公司達成了一些運營里程碑,包括在特立尼達和多巴哥的馬納提天然氣項目上作出最終投資決定(FID),並簽署了一項協議,獲得阿布扎比ADNOC的魯維斯液化天然氣項目10%的股份。
殼牌報告2024年第三季度收入爲43億美金,比2024年第二季度增長22%,主要受益於液化天然氣(LNG)銷量增加和有利的稅收變化,儘管煉油利潤和油價下降。經過調整的收入達到了60億美金,運營現金流強勁,達到了147億美金。公司保持季度股息每股0.3440美金,並宣佈了一項新的35億美金股票回購計劃,預計將在2024年第四季度完成。淨債務從第二季度的383億美金降低至352億美金,槓桿比率改善至15.7%。對於2024年全年,殼牌預計現金資本支出將低於220億美金。公司達成了一些運營里程碑,包括在特立尼達和多巴哥的馬納提天然氣項目上作出最終投資決定(FID),並簽署了一項協議,獲得阿布扎比ADNOC的魯維斯液化天然氣項目10%的股份。
声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息