Vermilion Energy Financial and Operational Overview
VERMILION
ENERGY
VERMILION'S KEY ATTRIBUTES
► Unique portfolio of internationally diversified, highly efficient conventional oil and gas assets ideally suited to
support a growth-and-income capital markets model
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Paid out over $40 per share of dividends since 2003
▶ Long history of strong profitability and free cash flow generation
High margin, low decline assets with strong capital efficiencies drive industry leading recycle ratios
Vermilion has delivered an average 13% ROACE since inception
► Compelling investment opportunity currently trading at a significant market discount
Trading at a discount to blowdown net asset value
► Significant leverage to recovering global commodity prices which will support our near-term priority of reducing
debt and facilitate the transition back to a dividend paying model
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A 10% increase in global commodity prices would add approximately $100 million of free cash flow
Industry leader in sustainability and ESG performance
O
Focused on ESG for over a decade with numerous awards and recognition by independent ESG agencies
VET: TSX !!!!!!
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