Quarterly Report • Jun 15, 2016
Quarterly Report
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| NOK 1 000 | Notes | 2015 | 2014 |
|---|---|---|---|
| Operating income | |||
| Petroleum income | 2 | 7 899 328 | 12 377 232 |
| Other income | 3 | 35 321 | 91 730 |
| Total operating income | 7 934 649 | 12 468 962 | |
| Operating expenses | |||
| Change in over-/under lifting of petroleum | -46 724 | 216 193 | |
| Transport expenses | 621 963 | 670 485 | |
| Payroll expenses | 4, 9 | 885 453 | 802 458 |
| Depreciation and depletion | 6 | 3 107 633 | 3 194 905 |
| Impairment | 6 | 0 | 7 107 357 |
| Production costs | 2 037 468 | 2 005 072 | |
| Other operating expenses | 4, 16 | 759 679 | 894 248 |
| Removal and abandonment | 1 392 401 | 2 482 225 | |
| Total operating expenses | 8 757 873 | 17 372 944 | |
| Operating profit | -823 224 | -4 903 981 | |
| Financial income and expenses | |||
| Interest received from group companies | 17 601 | 18 522 | |
| Other interest income | 2 327 | 3 620 | |
| Interest paid to group companies | -344 141 | -495 692 | |
| Other interest expenses | -6 638 | -7 654 | |
| Net foreign currency losses/gain | 270 144 | 336 695 | |
| Net financial items | -60 708 | -144 508 | |
| Ordinary profit before tax | -883 933 | -5 048 489 | |
| Taxes | 5 | -583 306 | -583 306 |
| Profit for the year | -300 627 | -4 465 184 | |
| Allocated to dividend | 0 | 0 |
| NOK 1 000 | Notes | 2015 | 2014 |
|---|---|---|---|
| Assets | |||
| Fixed assets | |||
| Intangible assets | |||
| Mineral rights | 6 | 909 904 | 909 904 |
| Long-term operating assets | |||
| Production plant and pipeline | 6 | 19 821 845 | 22 204 418 |
| Capitalised exploration and evaluation expenses | 6 | 132 672 | 109 330 |
| Means of transport, machinery and fixtures | 6 | 62 462 | 70 105 |
| Total fixed assets | 20 926 883 | 23 293 757 | |
| Current assets | |||
| Stocks | 16 | 271 699 | 329 076 |
| Receivables | |||
| Accounts receivable from customers | 69 070 | 5 597 | |
| Accounts receivable from group companies | 7 | 2 162 444 | 2 380 220 |
| Other receivables | 23 010 | 392 333 | |
| Under lifting of petroleum | 70 544 | 75 916 | |
| Bank deposits | 7 | 13 195 | 2 143 |
| Total current assets | 2 609 962 | 3 185 286 | |
| Total assets | 23 536 845 | 26 479 043 |
| NOK 1 000 | Notes | 2015 | 2014 |
|---|---|---|---|
| Equity and liabilities | |||
| Equity | |||
| Contributed equity | |||
| Share capital | 8 | 2 000 | 2 000 |
| Share premium | 8 | 2 874 000 | 2 874 000 |
| Earned equity | |||
| Other equity | 8 | 828 048 | 1 128 675 |
| Total equity | 3 704 048 | 4 004 675 | |
| Liabilities | |||
| Provisions for obligations | |||
| Pension obligations | 9 | 657 428 | 452 211 |
| Deferred taxation | 5 | 2 443 627 | 3 058 864 |
| Provisions for removal and abandonment | 11 | 7 529 252 | 6 947 890 |
| Total provisions for obligations | 10 630 307 | 10 458 965 | |
| Other long-term liabilities | |||
| Debt to group companies | 10 | 7 500 000 | 10 000 000 |
| Total other long-term liabilities | 7 500 000 | 10 000 000 | |
| Short-term liabilities | |||
| Public duties payable | 116 790 | 115 487 | |
| Tax payable | 5 | 162 705 | 180 914 |
| Debt to group companies | 55 282 | 70 166 | |
| Other short-term liabilities | 12 | 1 281 431 | 1 510 458 |
| Over lifting of petroleum | 86 282 | 138 377 | |
| Total short-term liabilities | 1 702 490 | 2 015 403 | |
| Total equity and liabilities | 23 536 845 | 26 479 043 |
Board of Directors, BP Norge AS Stavanger, 31. March 2016
Peter J. Mather (Chairman)
Jan J. Norheim Christen I. Minos Mark J. Thomas
Kåre Ekroll Ørjan Holstad Christine Eikeberg Ingard Haugeberg
| NOK 1 000 | 2015 | 2014 |
|---|---|---|
| Cash flow from operating activities | ||
| Ordinary profit before taxes | -883 933 | -5 048 489 |
| Taxes paid during the period | -50 140 | 18 571 |
| Depreciation, depletion and impairment | 3 107 633 | 10 302 262 |
| Removal and abandonment expenses | 1 392 401 | 2 482 225 |
| Change in short-term receivables and stocks | 586 377 | -859 346 |
| Change in short-term liabilities | -294 703 | -711 818 |
| Change in other accrual items | 205 216 | 123 626 |
| Actual decommissioning costs | -811 041 | -609 960 |
| Net cash flow from operating activities | 3 251 810 | 5 697 071 |
| Cash flow to investment activities | ||
| Disbursements for acquisitions of fixed assets | -740 759 | -1 905 429 |
| Net cash flow to investment activities | -740 759 | -1 905 429 |
| Cash flow to financing activities | ||
| Repayment of long-term debt | -2 500 000 | -3 800 000 |
| Net cash flow to financing activities | -2 500 000 | -3 800 000 |
| Net change in cash and cash equivalents for the period | 11 052 | -8 357 |
| Cash and cash equivalents, 1 January | 2 143 | 10 500 |
| Cash and cash equivalents, 31 December | 13 195 | 2 143 |
| NOK 1 000 | Notes | 2013 | 2012 |
|---|---|---|---|
| Operating income | |||
| Petroleum income | 2 | 8 507 771 | 5 241 664 |
| Other income | 3 | 43 843 | 744 495 |
| Total operating income | 8 551 614 | 5 986 159 | |
| Operating expenses | |||
| Change in over-/under lifting of petroleum | -261 232 | -52 180 | |
| Transport expenses (oil/gas/NGL) | 581 287 | 430 813 | |
| Payroll expenses | 4, 10 | 674 048 | 608 374 |
| Depreciation and depletion | 7 | 2 108 654 | 676 398 |
| Other operating expenses | 5 | 4 627 752 | 4 660 090 |
| Total operating expenses | 7 730 509 | 6 323 496 | |
| Operating profit | 821 105 | -337 337 | |
| Financial income and expenses | |||
| Interest received from group companies | 875 | 6 321 | |
| Other interest income | 13 026 | 28 311 | |
| Interest paid to group companies | -595 263 | -700 600 | |
| Other interest expenses | -20 452 | -8 114 | |
| Net foreign currency losses/gain | 8 886 | 4 800 | |
| Net financial items | -592 928 | -669 283 | |
| Ordinary profit before tax | 228 177 | -1 006 619 | |
| Taxes | 6 | 110 595 | -1 490 011 |
| Profit for the year | 117 582 | 483 392 | |
| Allocated to dividend | 0 | 1 000 000 |
| NOK 1 000 | Notes | 2013 | 2012 |
|---|---|---|---|
| Assets | |||
| Fixed assets | |||
| Long-term operating assets | |||
| Mineral rights | 7 | 1 106 730 | 1 106 730 |
| Production plant and pipeline | 7 | 29 715 739 | 26 961 819 |
| Production plant under construction | 7 | 802 481 | 3 049 709 |
| Means of transport, machinery and fixtures | 7 | 65 641 | 66 413 |
| Total fixed assets | 31 690 591 | 31 184 671 | |
| Current assets | |||
| Stocks | 376 563 | 381 266 | |
| Receivables | |||
| Accounts receivable from customers | 67 578 | 19 148 | |
| Accounts receivable from group companies | 1 285 315 | 693 443 | |
| Tax receivable | 6 | 14 961 | 162 465 |
| Other receivables | 414 016 | 362 465 | |
| Under lifting of petroleum | 153 732 | 0 | |
| Bank deposits | 8 | 10 500 | 5 125 |
| Total current assets | 2 322 666 | 1 623 912 | |
| Total assets | 34 013 257 | 32 808 584 |
| NOK 1 000 | Notes | 2013 | 2012 |
|---|---|---|---|
| Equity and liabilities | |||
| Equity | |||
| Contributed equity | |||
| Share capital | 9 | 2 000 | 2 000 |
| Share premium | 9 | 2 874 000 | 2 874 000 |
| Earned equity | |||
| Other equity | 9 | 2 766 961 | 2 649 379 |
| Total equity | 5 642 961 | 5 525 379 | |
| Liabilities | |||
| Provisions for obligations | |||
| Pension obligations | 10 | 328 585 | 278 260 |
| Deferred taxation | 6 | 6 646 371 | 6 485 951 |
| Provisions for removal and abandonment | 12 | 5 075 625 | 3 539 849 |
| Total provisions for obligations | 12 050 582 | 10 304 059 | |
| Other long-term liabilities | |||
| Debt to group companies | 11 | 13 800 000 | 13 800 000 |
| Total other long-term liabilities | 13 800 000 | 13 800 000 | |
| Short-term liabilities | |||
| Public duties payable | 108 991 | 105 601 | |
| Dividend | 9 | 0 | 1 000 000 |
| Debt to group companies | 805 528 | 131 544 | |
| Other short-term liabilities | 13 | 1 605 195 | 1 834 501 |
| Over lifting of petroleum | 0 | 107 500 | |
| Total short-term liabilities | 2 519 714 | 3 179 145 | |
| Total equity and liabilities | 34 013 257 | 32 808 584 |
Board of Directors, BP Norge AS Stavanger, 19. March 2014
Peter J. Mather (styreleder)
Jan J. Norheim Christen I. Minos Olav Fjellså
Kåre Ekroll Christopher Birknes Christine Eikeberg Olav Henriksen
| NOK 1 000 | 2013 | 2012 |
|---|---|---|
| Cash flow from operating activities | ||
| Ordinary profit before taxes | 228 177 | -1 006 619 |
| Taxes paid during the period | 197 329 | 94 710 |
| Profit on disposal of fixed assets | -682 818 | |
| Depreciation and depletion | 2 108 654 | 676 398 |
| Removal and abandonment expenses | 1 760 039 | 2 325 856 |
| Change in short-term receivables and stocks | -840 845 | 456 189 |
| Change in short-term liabilities | 340 568 | -2 169 590 |
| Change in other accrual items | 50 326 | 119 397 |
| Effect of change in currency | 0 | 0 |
| Actual decommissioning costs | -224 263 | -116 568 |
| Net cash flow from operating activities | 3 619 985 | -303 045 |
| Cash flow to investment activities | ||
| Disbursements for acquisitions of fixed assets | -2 614 611 | -4 257 910 |
| Payment received for sale of fixed assets | 0 | 736 256 |
| Reclassification of fixed assets | 0 | 0 |
| Net cash flow to investment activities | -2 614 611 | -3 521 654 |
| Cash flow to financing activities | ||
| Borrowing /(repayment) of long-term debt | 0 | 1 938 641 |
| Dividend paid | -1 000 000 | -1 000 000 |
| Share capital increase - cash contribution | 0 | 2 875 000 |
| Net cash flow to financing activities | -1 000 000 | 3 813 641 |
| Net change in cash and cash equivalents for the period | 5 375 | -11 058 |
| Cash and cash equivalents, 1 January Cash and cash equivalents, 31 December |
5 125 10 500 |
16 183 5 125 |
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