$1.59
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End-of-day quote: 04/27/2024
ASX:BPT

Beach Energy Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
$1.65B $1.77B $1.56B $1.73B $2.08B $1.27B $652.60M $558.00M $727.70M $1.05B $698.21M $618.62M $496.45M $487.47M $581.37M $685.36M $573.93M $162.84M
GM % Gross Margin %
35.88% 42.13% 38.09% 38.86% 41.89% 38.95% 28.99% 14.37% 22.70% 39.18% 33.20% 31.92% 15.58% 14.94% 20.84% 59.60% 59.21% 66.77%
OM Operating Margin
33.25% 40.61% 26.42% 39.06% 38.74% 27.51% 40.24% -94.64% -83.56% 19.38% 26.80% 27.04% -18.27% -4.11% 14.94% 36.31% 34.33% 36.73%
EPS Earnings Per Share
$0.00 $0.17 $0.22 $0.16 $0.20 $0.25 $0.14 $0.09 $0.02 $0.07 $0.20 $0.11 $0.11 $0.04 $0.04 $0.06 $0.06 $0.15 $0.09
Div. Dividends
$0.04 $0.02 $0.02 $0.02 $0.02 $0.02 $0.02 $0.01 $0.03 $0.03 $0.02 $0.02 $0.02 $0.02 $0.04 $0.02 $0.02 $0.02
PR % Payout Ratio %
23.53% 9.09% 12.50% 10.00% 8.00% 14.29% 22.22% 50.00% 42.86% 15.00% 18.18% 18.18% 50.00% 50.00% 66.67% 33.33% 13.33% 22.22%
Sha. Shares
2279.34m 2279.41m 2278.36m 2280.29m 2278.25m 2276.57m 1873.81m 1860.7m 1300.15m 1,292m 1268.65m 1255.46m 1103.13m 1092.37m 1036.51m 1024.55m 887.01m 535.55m
OCF Operating Cash Flow
$928.60M $1.22B $759.80M $873.90M $1.04B $662.90M $319.00M $233.40M $228.50M $582.60M $261.27M $218.22M $184.53M $128.47M $173.26M $199.80M $115.43M $63.34M
FCF Free Cash Flow
$-157.69M $310.40M $2.00M $-46.20M $558.90M $349.00M $161.10M $17.70M $-221.90M $80.74M $-182.33M $-41.75M $-25.00M $-18.62M $-288.47M $-61.22M $-202.44M $-142.62M
FCFS Free Cash Flow Per Share
$-0.11 $0.14 $0.04 $-0.02 $0.24 $0.16 $0.09 $0.01 $-0.17 $0.06 $-0.14 $-0.04 $0.01 $-0.02 $-0.28 $-0.07 $-0.29 $-0.31