Seplat Energy PLC
F:134

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Seplat Energy PLC
F:134
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Price: 3.7 EUR -1.6% Market Closed
Market Cap: €2.2B

Cash Flow Statement

Cash Flow Statement
Seplat Energy PLC

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Cash Flow Statement
Currency: USD
Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
17
177
233
325
265
204
207
80
126
191
174
285
330
379
518
493
705
Depreciation & Amortization
234
151
153
157
148
138
140
149
166
167
174
165
168
204
334
480
478
Stock-Based Compensation
4
3
0
4
3
8
0
3
6
12
10
15
14
20
26
26
27
Other Non-Cash Items
287
57
67
61
56
111
98
120
117
115
112
51
64
11
33
117
153
Cash Taxes Paid
23
13
14
42
43
58
59
63
75
62
61
64
66
68
104
233
308
Cash Interest Paid
147
90
100
73
74
64
88
76
68
62
52
59
67
65
72
86
99
Change in Working Capital
(84)
(15)
91
1
73
45
15
76
69
(29)
(140)
(93)
(55)
(284)
(373)
(466)
(372)
Cash from Operating Activities
453
N/A
370
-18%
544
+47%
544
+0%
543
0%
499
-8%
460
-8%
424
-8%
478
+13%
445
-7%
320
-28%
408
+28%
507
+24%
310
-39%
512
+65%
624
+22%
963
+54%
Investing Cash Flow
Capital Expenditures
(234)
(170)
(163)
(184)
(198)
(163)
(182)
(181)
(177)
(184)
(186)
(198)
(216)
(208)
(201)
(202)
(231)
Other Items
(49)
5
(129)
(130)
(121)
(118)
16
19
18
22
31
35
37
(451)
(468)
(485)
(556)
Cash from Investing Activities
(283)
N/A
(165)
+42%
(292)
-77%
(313)
-7%
(319)
-2%
(281)
+12%
(166)
+41%
(162)
+3%
(158)
+2%
(162)
-3%
(155)
+4%
(163)
-5%
(179)
-10%
(659)
-269%
(670)
-2%
(687)
-3%
(787)
-15%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
(15)
(19)
(20)
0
(4)
0
Net Issuance of Debt
(24)
68
68
7
(3)
(2)
(5)
(16)
(27)
(27)
(48)
(37)
(39)
607
360
353
243
Cash Paid for Dividends
(117)
(73)
0
(58)
(59)
(59)
0
(92)
(91)
(99)
0
(90)
(93)
(91)
0
(106)
(116)
Other
(147)
(95)
(105)
(78)
(79)
(76)
(88)
(76)
(77)
(71)
(72)
(73)
(75)
(87)
(83)
(131)
(165)
Cash from Financing Activities
(288)
N/A
(101)
+65%
(111)
-10%
(128)
-16%
(141)
-10%
(137)
+3%
(152)
-11%
(184)
-21%
(195)
-6%
(197)
-1%
(219)
-11%
(215)
+2%
(227)
-6%
410
N/A
166
-59%
112
-32%
(38)
N/A
Change in Cash
Effect of Foreign Exchange Rates
11
(4)
(11)
2
2
(1)
5
(47)
(38)
(40)
(70)
(39)
(58)
(41)
(9)
(2)
8
Net Change in Cash
(106)
N/A
99
N/A
130
+31%
105
-19%
85
-19%
80
-6%
147
+85%
31
-79%
86
+181%
46
-47%
(124)
N/A
(9)
+93%
43
N/A
20
-54%
(1)
N/A
48
N/A
146
+207%
Free Cash Flow
Free Cash Flow
219
N/A
200
-9%
381
+91%
360
-5%
345
-4%
336
-3%
278
-17%
243
-13%
301
+24%
261
-13%
134
-49%
211
+57%
291
+38%
102
-65%
310
+205%
422
+36%
732
+73%