RC: 6442

2, Tincan Island, Port Road, Apapa-Lagos, Nigeria T : +234 809 030 0000 www.mrsoilnigplc.net

SUBJECT: MON PLC 2024 Q2 FORECAST

DATE: 04/3/2024

PERIOD: Q2 2024 (2nd Quarter Forecast)

STATEMENT OF COMPREHENSIVE INCOME

Turnover/Revenue ₦108.34b, Cost of Sales (₦105.15b), Gross Profit ₦3.19b, Distribution, Admin. & other Expenses (₦2.45b), Operating Profit/(Loss) ₦794.62m, Other Income ₦60.69m, Finance Costs (₦107.01m), Profit/(Loss) before Tax ₦687.55m, Tax (₦223.46m), Profit/(Loss) after Tax ₦464.10m. Earnings per Share (₦) Basic ₦1.35

STATEMENT OF CASH FLOW

Operating Cash flow before working capital change ₦198.5m

Net cash generated from Operating activities ₦471.13m, Cash flow from Investing activities (₦624.18m), Cash flow from Financing activities (₦0.00), Net Increase/(Decrease) Cash and cash Equivalent (₦153.01m), Cash and cash equivalent at the beginning of 2nd Quarter ₦8.17b, Cash and cash equivalent at the end of 2nd Quarter ₦8.01b.

CHIEF FINANCE OFFICER

MANAGING DIRECTOR

DIRECTORS:

Mr. Patrice Alberti (French), (Chairman), Mr. Marco Storari (Managing Director), Ms. Amina Maina,

Mr. Mathew Akinlade (FCA), Sir Sunday N. Nwosu, Chief Dr. Amobi D. Nwokafor (FCA), Mrs. Priscilla Ogwemoh.

T E A M W O R K E X C E L L E N C E S E R V I C E T R U S T

STATEMENT OF COMPREHENSIVE INCOME

MON PLC 2024 2ND QTR FORECAST

2024 Q2 FORECAST

NGN

Revenues

108,341,618,267

Cost of Sales

(105,154,605,628)

Distribution/Admin. and Other Expenses

(2,453,078,341)

Other Incomes

60,685,874

Net Finance Cost

(107,065,725)

Profit/(Loss) Before Tax

687,554,448

Taxation

(223,455,195)

Profit/(Loss) After Tax

464,099,252

Other Comprehensive Income

-

Total Comprehensive Income

464,099,252

Profit/(Loss) After Tax Attr. To Non-controlling Interest

185,639,701

Profit/(Loss) After Tax Owners of the Company

278,459,551

Total Comp. Income Attr. to Non-Controlling Interest

185,639,701

Attributable to Owners of the Company

278,459,551

Basic Earnings per Share

1.35

STATEMENT OF CASH FLOW

2024 Q2 FORECAST

NGN

Cash Flow from Operating Activities

Operating Cash Flow before Working Capital Changes

464,099,252

Cash flow from working capital changes

7,035,552

Net Cash Generated from Operating Activities

471,134,804

Cash Flow from Investing Activities

(624,181,320)

Cash Flow from Financing Activities

-

Net Increase/Decrease Cash and Cash Equivalent

(153,046,516)

Cash and Cash Equivalent Beginning of Q2

8,166,904,564

Cash and Cash Equivalent End of Q2

8,013,858,048

CHIEF FINANCE OFFICER

MANAGING DIRECTOR

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MRS Oil Nigeria plc published this content on 05 March 2024 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 05 March 2024 16:00:06 UTC.