Investor Presentaiton slide image

Investor Presentaiton

million $ STRONG CASH GENERATION YTD 2023 Continuous strong cash generation during the period with $365.1m net cash inflows generated from operations Opening Cash Balance 17 404 Cash from Operations 365 Hedge Premium & Tax Paid SEPLAT ENERGY INVESTOR PRESENTATION (64) (4) 9 (125) Contribution to Plan Assets 9M23 FCF +$172m Capex Asset Disposal Dividend Paid Q4 22: Dividends 2.5c/shr FY22 Special: 5.0c/shr Q1 23: Q2 23: 3.0c/shr 3.0c/shr Seplat nergy (76) (22) 391 (64) (31) RBL Westport Repayment Naira Devaluation Interest & Finance FX Differences Closing Cash reliable energy, limitless potential
View entire presentation