UK's National Grid Shares Dive 14%+ After Equity Raise, FY Revenue Slips
UK's National Grid Shares Dive 14%+ After Equity Raise, FY Revenue Slips
$National Grid (NGG.US)$ sank more than 14% Thursday after the utility giant reported an equity raise of £7 billion and a year-over-year decrease in full-year revenue results.
$英國國家電網公司 (NGG.US)$ 週四下跌超過14%,此前這家公用事業巨頭報告股權籌集了70億英鎊,全年收入同比下降。
NGG fell 14.3% to a $61.72 close after the firm -- which operates in the United Kingdom and the United States -- reported that adjusted earnings per share increased 32% year over year to £0.84, but gross revenue declined 8% year year to £19.850 billion i n its 2023/24 full-year.
NGG下跌14.3%,收於61.72美元,此前該公司——在英國和美國開展業務——報告稱,調整後的每股收益同比增長32%,至0.84英鎊,但2023/24全年總收入同比下降8%,至198.5億英鎊。
Underlying operating profit rose 4% Y/Y to £4.8 billion (+6% Y/Y at constant currency), aided by growth in revenues in UK Electricity Transmission through the RIIO-T2 price control, non-recurrence of Western Link liquidated damages, and higher rates in New York and New England.
基礎營業利潤同比增長4%,至48億英鎊(按固定貨幣計算同比增長6%),這得益於英國電力傳輸收入的增長(通過 RIIO-T2 價格控制)、Western Link的違約金不再發生以及紐約和新英格蘭的更高利率。
The company also disclosed a final dividend of 39.12 pence, bringing the full-year dividend to 58.52 pence, up 5.6% and in line with policy.
該公司還披露了39.12便士的末期股息,使全年股息達到58.52便士,增長5.6%,符合政策。
Outlook: For 2024/25, the company expects underlying EPS to be broadly in line with 2023/24 EPS once this has been adjusted by the number of bonus shares issued as part of the rights issue.
展望:對於2024/25年,該公司預計基礎每股收益將與2023/24年的每股收益基本持平,前提是根據作爲供股一部分發行的紅股數量進行了調整。
Investment: The company plans to invest £60 billion (around $75 billion) in the U.S. and U.K. over the next five years.
投資:該公司計劃在未來五年內在美國和英國投資600億英鎊(約合750億美元)。
In New York, National Grid is investing around $21 billion between now and 2029, per the company's statement.
根據該公司的聲明,從現在起到2029年,國家電網在紐約投資約210億美元。
The investment is expected to deliver annual group asset growth of around 10%, and 6%-8% underlying EPS CAGR from a 2024/25 baseline to 2028/29, assuming an exchange rate of £1:$1.25.
假設匯率爲1英鎊兌1.25美元,該投資預計將帶來約10%的集團資產年增長率,從2024/25年的基準到2028/29年的基礎每股收益複合年增長率爲6%-8%。
This is projected to be led by a comprehensive financing plan that includes a £7 billion equity raise.
預計這將由一項全面的融資計劃牽頭,其中包括70億英鎊的股權融資。
John Pettigrew, Chief Executive, said, "Alongside our new five-year financial framework, we are also today further evolving our strategy to focus on networks and will therefore be streamlining our business as we announce our intention to sell Grain LNG, our UK LNG asset, and National Grid Renewables, our US onshore renewables business."
首席執行官約翰·佩蒂格魯表示:“除了新的五年財務框架外,我們今天還在進一步發展我們的戰略,將重點放在網絡上,因此,我們宣佈打算出售穀物液化天然氣、英國液化天然氣資產和美國陸上可再生能源業務國家電網可再生能源,從而精簡我們的業務。”