Petroleum GEO SVS NOK3
Petroleum GEO SVS NOK3
6,63 %
13,92 NOK
0,87
Noter.
13,92
Høy
14,96
Endring
6,63 %
Lav
13,76
Oppdatert
16.09.2019
Åpen
14,00
Factsheet for Petroleum GEO SVS NOK3
Company Profile
Description
PGS ASA provides images and 3D models of the subsurface beneath the ocean floor. Oil-market participants use PGS services to find oil and gas reserves worldwide. The company's complete line of products includes seismic, electromagnetic, and reservoir services, including acquisition, imaging, interpretation, and field evaluation. The majority of revenue is derived from the multiclient segment where it initiates and manages seismic surveys, which PGS acquires, processes, markets and sells to multiple customers on a nonexclusive basis. Products and services are offered in offshore markets around the world.
Key Stats
Website: http://www.pgs.com
Headquarter country: Norway
Employees: 2 245
Market Cap (at close 27.08.2019): NOK 4B
Fiscal Year Ends: desember
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 15,40 16,70
Forward Price/Earnings 9,00 78,10 51,30 8,10
Price/Free Cash Flow 9,10 438,40 36,90
Return on Assets -3,60 -19,80 -10,30 -16,30 -1,40
Return on Equity -11,00 -46,80 -20,80 -31,40 -2,60
Return on Invested Capital -2,40 -20,50 -10,00 -17,70 -1,00
Dividend


Dividend/Share:0,10
Ex. Dividend Date:31.12.2015
Trailing Dividend Yield:2,91
Payout Ratio:0,00
Date Currency Amount
30.06.2015 USD 0,09
30.06.2014 USD 0,38
30.06.2013 USD 0,28
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 874,30 838,80 764,30 962,00 1 453,80
Gross Profit 0,26 0,06 0,08 0,55 0,80
Gross Margin % 29,23% 7,26% 10,11% 57,06% 55,04%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA 512,00 264,00 276,00 -8,00 646,00
Net income -88,00 -523,00 -294,00 -528,00 -51,00
Basic Earnings Per Share -0,26 -1,55 -1,21 -2,43 -0,24
Operating Income 0,07 -0,16 -0,13 0,00 0,18
Operating Margin % 8,03% -18,98% -17,52% 0,09% 12,24%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 446,00 282,00 321,00 488,00 584,00
Capital Expenditures -345,00 -379,00 -430,00 -486,00 -754,00
Free Cash Flow 101,00 -97,00 -109,00 2,00 -170,00
Balance Sheet

Assets 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Current Assets 455,80 447,70 381,80 470,30 657,40 763,30
Long Term Assets 1 929,00 2 035,10 2 435,10 2 443,80 2 905,60 2 781,00
Total Assets 2 384,80 2 482,80 2 817,00 2 914,10 3 563,00 3 544,30
Liabilities 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Total Current Liabilities 425,10 367,20 246,40 298,40 409,80 390,50
Long Term Liabilities 1 211,20 1 152,00
Total Liabilities 1 457,60 1 450,40
Equity 31.12.2018 31.12.2017 31.12.2016 31.12.2015 31.12.2014
Retained Earnings -257,20 -105,60 505,70 799,90 1 340,90 1 479,40
Treasury Stock 0,00 0,80 1,10 1,90 1,40
Total Stockholder Equity 721,80 879,50 1 359,40 1 463,70 1 901,60 2 065,60
Net Tangible Assets -39,40 244,10 553,20 607,10 882,70 1 183,90