share_log

San Juan Basin Royalty Trust Declares No Cash Distribution for June 2024 and Announces Production Costs in Excess of Proceeds

San Juan Basin Royalty Trust Declares No Cash Distribution for June 2024 and Announces Production Costs in Excess of Proceeds

San Juan Basin Royalty Trust宣佈2024年6月不分配現金,並宣佈生產成本超過收益。
PR Newswire ·  06/17 09:15

DALLAS, June 17, 2024 /PRNewswire/ -- Argent Trust Company, as the trustee (the "Trustee") of the San Juan Basin Royalty Trust (the "Trust") (NYSE: SJT), today reported that it will not declare a monthly cash distribution to the holders of its Units of beneficial interest (the "Unit Holders") due to excess production costs for the Trust's subject interests ("Subject Interests") during the production month of April 2024, as well as lower natural gas pricing. Excess production costs occur when production costs and capital expenditures exceed the gross proceeds for a certain period. Excess production costs for this reporting period are due primarily to significant lease operating expenses associated with Hilcorp San Juan L.P.'s ("Hilcorp") 2024 capital project plan.

2024年6月17日,阿根特信託公司作爲聖胡安盆地皇權信託的受託人("信託受託人")("信託")(紐約證券交易所:SJT)今日報告,由於2024年4月生產月期間信託主體利益("主體利益")的超出生產成本以及天然氣定價下降,將不向其有益利益單元持有人("單元持有人")宣佈月度現金分配。當生產成本和資本支出超過一定期間的總收益時,會出現超額生產成本。本報告期的超額生產成本主要歸因於與Hilcorp San Juan L.P.("Hilcorp")2024年資本項目計劃相關的重要租約營業費用。

Hilcorp reported $2,470,705 of total revenue from the Subject Interests for the production month of April 2024, consisting of $2,224,435 of gas revenues and $246,270 of oil revenues. For the Subject Interests, Hilcorp reported $3,261,156 of production costs (excluding excess production costs) for the production month of April 2024, consisting of $2,465,257 of lease operating expenses, $327,905 of severance taxes, and $467,994 of capital costs.

Hilcorp報告稱,2024年4月主體利益總收入爲$2,470,705,其中天然氣收入爲$2,224,435,石油收入爲$246,270。對於主體利益,Hilcorp報告2024年4月的生產成本(不包括超額生產成本)爲$3,261,156,其中租賃營業費用爲$2,465,257,勘探公司稅爲$327,905,資本費用爲$467,994。

Cash reserves will be utilized to pay Trust administrative expenses of $92,364. Hilcorp will charge the excess production costs of approximately $1,222,748 gross ($917,061 net to the Trust) to the next month's distribution. No cash distributions will be distributed by the Trust until future net proceeds are sufficient to pay then-current Trust liabilities and replenish cash reserves.

現金儲備將用於支付92,364美元的信託行政費用。Hilcorp將向下個月的分配收取約$ 1,222,748的超額生產成本總收入(除稅前917,061美元歸信託所有外)。在未來的淨收益足以支付當前信託負債並補充現金儲備之前,信託將不會分配任何現金。

Based upon information provided to the Trust by Hilcorp, gas volumes for the subject interests for April 2024 totaled 1,788,912 Mcf (1,987,680 MMBtu), as compared to 1,909,338 Mcf (2,121,487 MMBtu) for March 2024. Dividing gas revenues by production volume yielded an average gas price for April 2024 of $1.24 per Mcf ($1.12 per MMBtu), as compared to an average gas price for March 2024 of $1.50 per Mcf ($1.35 per MMBtu).

根據Hilcorp向信託提供的信息,2024年4月的主體利益天然氣總量爲1,788,912 Mcf(1,987,680 MMBtu),相比之下,2024年3月爲1,909,338 Mcf(2,121,487 MMBtu)。除以生產量的天然氣收入得到2024年4月的平均天然氣價格爲每Mcf $1.24(每MMBtu $1.12),相比之下,2024年3月的平均天然氣價格爲每Mcf $1.50(每MMBtu $1.35)。

Pursuant to the Amended and Restated Royalty Trust Indenture, dated December 12, 2007 (as amended on February 15, 2024, by the First Amendment to the Amended and Restated Royalty Trust Indenture), the Trustee is authorized to retain, in its sole discretion, a cash reserve for payment of Trust liabilities that are contingent or uncertain or otherwise not currently due and payable. To cover Trust expenses during any period of revenue shortfall, which has resulted and may continue to result from lower commodity prices and increased production costs under Hilcorp's 2024 project plan for the Subject Interests, the Trustee increased the cash reserves in March and April of 2024, such that total cash reserves were $1.8 million as of April 30, 2024. This month, cash reserves of $82,913 will be utilized to pay Trust administrative expenses for June 2024 which will bring the balance of cash reserves maintained by the Trustee to $1,467,743. Prior to any future distributions to Unit Holders, the Trustee plans to replenish the cash reserves and continue to increase the cash reserves to $2.0 million.

根據2007年12月12日修訂並重新修正的皇權信託契約(2004年2月15日修訂並重新修正的皇權信託契約第一章),信託受託人有權自主決定保留現金儲備,用於支付不確定的或未來到期款項的信託負債。 爲了在收入不足的任何期間(由於低商品價格和Hilcorp的2024年主體利益的增加生產成本,這已經造成並可能繼續造成),信託受託人在2024年3月和4月增加了現金儲備,因此到2024年4月30日,現金儲備總額爲180萬美元。本月,82,913美元的現金儲備將用於支付2024年6月的信託行政費用,這將使信託受託人維護的現金儲備餘額達到1,467,743美元。在向單元持有人分配任何未來分配之前,信託受託人計劃補充現金儲備並繼續增加現金儲備至200萬美元。

Production from the Subject Interests continues to be gathered, processed, and sold under market sensitive and customary agreements, as recommended for approval by the Trust's Consultant. The Trustee continues to engage with Hilcorp regarding its ongoing accounting and reporting to the Trust, and the Trust's third-party compliance auditors continue to audit payments made by Hilcorp to the Trust, inclusive of sales revenues, production costs, capital expenditures, adjustments, actualizations, and recoupments. The Trust's auditing process has also included detailed analysis of Hilcorp's pricing and rates charged. As previously disclosed in the Trust's filings, these revenues and costs (along with all costs) are the subject of the Trust's ongoing comprehensive audit process by the Trust's professional consultants and outside counsel to analyze compliance with all the underlying operative Trust agreements and evaluate potential remedies in the event there is suspected non-compliance.

主體利益的生產仍按照市場敏感和慣例的協議進行收集、加工和銷售,顧問建議批准此協議。受託人繼續與Hilcorp就其向信託的持續會計和報告以及第三方合規審計人員繼續審核由Hilcorp向信託付款的情況展開交流,包括銷售收入、生產成本、資本支出、調整、更新和回收。信託的審計過程還包括對Hilcorp的定價和費率收取進行詳細分析。正如之前披露的那樣,這些收入和成本(以及所有成本)是信託的專業顧問和外部律師對所有基礎運行信託協議的合規分析和評估潛在補救措施的對象。

Forward Looking Statements. Except for historical information contained in this news release, the statements in this news release are forward-looking statements that are made pursuant to the Safe Harbor Provisions of the Private Securities Litigation Reform Act of 1995. Such forward-looking statements generally are accompanied by words such as "estimates," "anticipates," "could," "plan," or other words that convey the uncertainty of future events or outcomes. Forward-looking statements and the business prospects of San Juan Basin Royalty Trust are subject to a number of risks and uncertainties that may cause actual results in future periods to differ materially from the forward-looking statements. These risks and uncertainties include, among other things, certain information provided to the Trust by Hilcorp, volatility of oil and gas prices, governmental regulation or action, litigation, and uncertainties about estimates of reserves. These and other risks are described in the Trust's reports and other filings with the Securities and Exchange Commission.

前瞻性聲明。除本新聞稿中包含的歷史信息外,本新聞稿中的聲明均屬於根據1995年《私人證券訴訟改革法》的安全港規定所做的前瞻性聲明。此類前瞻性聲明通常附帶具有不確定性的未來事件或結果的詞語,如"估計"、"預計"、"可能"或其他傳達不確定性的詞語。 。聖胡安盆地皇權信託的前瞻業務前景受到多種風險和不確定性的影響,這可能會導致未來時期的實際結果與前瞻性聲明有所不同。這些風險和不確定性包括Hilcorp向信託提供的某些信息、石油和天然氣價格的波動、政府監管或行動、訴訟以及對儲備的估計的不確定性。這些和其他風險均在信託的報告和其他提交給證券交易委員會的文件中描述。

Contact:

San Juan Basin Royalty Trust


Argent Trust Company, Trustee


Nancy Willis, Director of Royalty Trust Services


Toll-free: (855) 588-7839 or (866) 809-4553


Fax: (214) 559-7010


Website:


Email: [email protected]

聯繫人:

聖胡安盆地皇權信託


阿根特信託公司,受託人


董事董事貨幣信託服務的南希·威利斯


免費電話:(855)588-7839或(866)809-4553


傳真:(214)559-7010


網址:


電子郵件:[email protected]

SOURCE San Juan Basin Royalty Trust

消息來源:聖胡安盆地皇權信託

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
    搶先評論