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Investor Presentaiton

Sustained operational & financial delivery and disciplined capital allocation Since becoming a public company in 2021, we have generated $3.8 billion of free cash flow Safeguarding the balance sheet Net debt, $bn Ensuring a robust and resilient portfolio Capex, $bn Competitive shareholder returns Dividend, cents/share c.75% 0.8 0.2 YE 2022 YE 2023 0.9 2022 c.10% 1.0 2023 23 9% 25 2022 2023 c.$2.7 billion of net debt reduction, supported by prudent risk management & capital discipline $2.8 billion Total capital expenditure since 2021 c.$1 billion Returned to shareholders since 2021 through dividends and buybacks Harbour Energy | Investor Presentation Harbour Energy 18
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