Oil & Gas

Warrego Energy Limited (ASX:WGO)

Industry Group : Energy | Industry Group Name : Oil, Gas & Consumable Fuels

Market Price : AUD 0.14-0.005 (3.448%)

(as on 2021-10-22 09:56:33)

Market Cap : AUD 171.237 M

Previous Close Open Close* Day Range 52 WEEK HIGH LOW
0.145 0.14 0.14 0.1375L 0.145 H 0.1375L 0.285 H
Last Trade 0.14
Change% -3.4483
52 W H/L 0.285/0.1375
EBITDA -5.071 M
NPAT After Abnormal Items -6.08 M
Equity 63.549 M
ROE% -9.62%
Total Liabilities 12.049 M
Total Revenue 488,382
Cash and Cash Equivalents 13.721 M

Stock Information

Share price 0.14
Market Cap 171.237 M
Price/Gross Cash Flow -51.85
Dividend Yield Excluding Special 0.00%
Ending Shares 996.6 M
52-Week Range 0.1375-0.285
P/E ratio 2500.000
Sector P/E --
EPS -0.17
EV/EBITDA --
Net Profit Margin (%) -1,245.00%
Gross Cash Flows Per Share -0.00
Net Gearing -20.38%
Gross DPS (AUD) 0
Gross Dividend Yield (Annualized) 0.00%
Earnings Yield 0.040
Net Tangible Asset (NTA) 0.06
Sales Per Share 0.00
Book Value Per Share 0.06

Announcements

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About Company

Warrego Energy Limited (ASX: WGO) is an energy company based out of UK/Australia engaged in oil exploration, development and production. The company has assets spread across Spain, Uruguay, and Australia. The key projects of the company are: • EP469 Western Australia, Perth Basin • Tesorillo Project in Cadiz Spain • Coolcalalaya / North Perth Basin in Western Australia • Piedra Sola concession in Uruguay The company was earlier known by the name Petrel Energy Limited. It is headquartered in Sydney, Australia.

Corporate Information

company address Level 6, 216 St Georges Terrace, PERTH, WA, AUSTRALIA, 6000

company phone02 9254 9000

company websitehttps://www.warregoenergy.com/

Dividends

Ex-Dividend Date Franking DPS (AUD) Dividend Yield
30/06/2021 -- 0.000 0.00%
30/06/2020 -- 0.000 0.00%
30/06/2019 -- 0.000 0.00%
30/06/2018 -- 0.000 0.00%
30/06/2017 -- 0.000 0.00%
30/06/2016 -- 0.000 0.00%
30/06/2015 -- 0.000 0.00%
30/06/2014 -- 0.000 0.00%
30/06/2013 -- 0.000 0.00%
30/06/2012 -- 0.000 0.00%

Event Calendar

Event Type Event Date Event Year
Report (Annual) 2022-10-21 2022
Report (Quarterly) 2022-07-21 2022
Report (Quarterly) 2022-04-20 2022
Report (Quarterly) 2022-01-24 2022
Report (Quarterly) 2021-10-25 2021

Financials

Breakdown 30/06/2021 30/06/2020 30/06/2019 30/06/2018 30/06/2017
Trading Revenue 488,382 -- -- -- --
Other Revenue 0 9,211 0 85,209 8,128
Total Revenue 488,382 9,211 0 85,209 8,128
Interest Income 5,038 8,958 5,946 29,347 0
Interest Expenses -40,158 -191,912 -1.187 M 0 -84,447
Expenses -6.718 M -4.196 M -3.016 M -21.106 M -1.955 M
EBITDA -6.23 M -4.187 M -3.016 M -21.02 M -1.947 M
Depreciation and Amortization -120,888 -117,919 -5,899 -19,999 -25,276
Depreciation -120,888 -117,919 -5,899 -19,999 -25,276
Amortisation 0 0 0 0 0
EBIT -6.351 M -4.305 M -3.022 M -21.04 M -1.972 M
Pre Tax Profit -6.386 M -4.488 M -4.202 M -21.011 M -2.057 M
Tax Expense 0 0 0 0 0
Net Profit After Tax -6.386 M -4.488 M -4.202 M -21.011 M -2.057 M
Minority Interest 305,715 114,353 0 9.307 M 0
Preference Dividend 0 0 0 0 0
Net Abnormal Items 0 0 -3.331 M -8.111 M 0
Reported Net Profit After Abnormal Items -6.08 M -4.374 M -7.533 M -19.815 M -2.057 M
Ending Shares 996.6 M 803.975 M 609.356 M 1.761 B 1.165 B
Weighted Average Shares 3.644 B 803.975 M 609.356 M 1.522 B 937.244 M
EPS After Abnormal Items (cents) -0.17 -0.54 -1.24 -1.3 -0.22
Breakdown 30/06/2021 30/06/2020 30/06/2019 30/06/2018 30/06/2017
Total Current Assets 15.292 M 17.057 M 7.727 M 217,733 5.055 M
Total Non Current Assets 60.306 M 20.462 M 8.834 M 4.411 M 29.377 M
Total Assets 75.598 M 37.519 M 16.562 M 4.629 M 34.431 M
Total Current Liabilities 7.742 M 2.304 M 2.816 M 1.063 M 2.122 M
Total Non Current Liabilities 4.307 M 540,658 98,629 22,301 0
Total Liabilities 12.049 M 2.845 M 2.915 M 1.085 M 2.122 M
Net Assets 63.549 M 34.674 M 13.647 M 3.543 M 32.309 M
Breakdown 30/06/2021 30/06/2020 30/06/2019 30/06/2018 30/06/2017
Net Operating Cash -4.385 M -4.298 M -3.271 M -857,107 -1.825 M
Net Invested Cash -32.284 M -11.975 M -244,559 -8.43 M -7.136 M
Net Financing Cash Flows 35.133 M 24.2 M 10.605 M 5.779 M 12.064 M
Beginning Cash 15.262 M 7.343 M 294,921 3.579 M 479,243
End Cash Position 13.721 M 15.262 M 7.343 M 43,565 3.579 M
Exchange Rate Adjustments -4,257 -8,932 -134,138 -26,534 -3,859
Other Cash Adjustments 0 0 91,871 0 0
Ending Cash 13.721 M 15.262 M 7.343 M 43,565 3.579 M

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