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   BECOPETRO

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Index: 37135.74 111.02 0.30%
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Sector:
Oil and Gas
Sub-Sector:
Petroleum and Petroleum Products Distributors
Listing Date:
7th October 2009
End of Accounting Year:
31 Jul
Share Outstanding:
3,716,976,580.00
NSE code
BECOPETRO
AGM Date:
21-05-2010


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No. Of Deals:   1.00


Volume Traded:   15,000.00


Value Traded:    7,500.00


52 Weeks High:  0.50


52 Weeks Low:    0.50

Open Price:    0.50


Close Price:    0.50


High Price:    0.50


Low Price:    0.50


Year To Date Appreciation:    - - 

 


1 Week Change (%)


1 Month Change (%)


6 Months Change (%)


1 Year Change (%)

BECOPETRO


0


0


0


0

NSE All-share Index


-4.57


0.62


35.35


76.6

Quarterly Results For BECOPETRO

4th December, 2012: 3rd Quarter Results for the Period Ending 30-Sept-2012


Values
2012 N'm
2011 N'm
% Change
Profit & Loss Information
Turnover
1,182
2,390
-50.54%
Cost of Sales
-962
-2,005
-52.02%
Profit Before Tax
-26
6
-535.21%
Taxation
-13
-14
-5.56%
Profit Or Loss After Tax
-39
16
-343.44%
Balance Sheet Information
Fixed Assets
2,365
2,416
-2.11%
Investments
10
10
0%
Stocks
26
254
-89.57%
Trade Debtors
219
240
-8.67%
Cash & Bank Balances
1
11
-89.46%
Trade Creditors
131
29
355.51%
Working Capital
474
461
2.83%
Net Assets
2,847
2,887
-1.39%
  VALUATION MEASURES
Market Cap :
1,858,488,290.00
EPS:
-0.01
P/E:
-47.16
Book Value :
N/A
Book Value Per Share :
N/A
Price/Book
N/A
  FINANCIAL HIGHLIGHTS
  Fiscal
Fiscal Year End
31 Jul
Most Recent Quarter
3rd Quarter
  Profitability
Profit Before Tax Margin
-2.22
Profit After Tax Margin
-3.33
Profit Before Tax Growth
-535.21
Profit After Tax Growth
-343.44
  Management Effectiveness
Return On Assets
-0.02
Return On Equity
-0.01


  INCOME STATEMENT
Revenue:
N1,182.00(mln)
Revenue Per Share :
0.32
Revenue Growth :
-50.54%
   Balance Sheet
Total Cash
1.12
Shareholder Fund Growth
-1.39%
Loan Growth
0.00%
Deposit Growth
0.00%
Fixed Asset Growth
-2.11%
  Dividends & Splits
Dividend:
0.01 (2010-05-10)
Bonus Declared
  TRADING INFORMATION
  Stock Price History
52-week Change:
0.00%
52-week Change
(relative to NSE Index)
76.60%
52-Week High:
0.50
52 Week Low :
0.50
50-Day Moving Average :
0.50
200-Day Moving Average:
0.50
  Share Statistics
Ave. Volume (3 month):
38,478.37
Ave. Volume (10 days):
62,348.90
Shares Outstanding:
3,716,976,580.00
Daily Volume
15,000.00


Beco Petroleum products Plc
Balance Sheet as at 31st July, 2009
Assets employed
2009
2008
Fixed assets
3,133,448,360
2,231,245,817
Investments
4,210,099
21,734,000
Stock
242,030,351
141,497,000
Debtors and prepayments
469,570,457
322,993,000
Cash and Bank
3,193,021
3,284,000
Total Assets
3852452288
2720753817
Liabilities
Bank overdrafts and loans
308,091,743
279,707,000
Creditors and accruals
12,662,575
90,437,000
Taxation
128,486,882
97,708,326
Deferred tax account
93,979,693
93,979,693
Dividend
20,000,000
Total Liabilities
563220893
561832019
Net Assets
3289231395
2158921798
Capital and Reserves
Paid-up share capital
1,858,488,290
10,000,000
Deposit for share
1,645,662,100
Share premium
954,912,309
Bonus issue Reserve
184,239,000
Capital Reserve
183,858,000
183,858,000
Profit and loss account
291,972,796
135,162,698
Shareholders' Funds
3289231395
2158921798
PROFIT AND LOSS ACCOUNTS
For the year ended 31 July 2009
Gross Income
3995384089
3397579000
Gross profit
653,426,884
401,097,000
Profit before taxation
216,718,385
261,292,717
Profit after taxation
176,810,098
135,162,698
Dividend
20,000,000
Per share Data:
Earnings per share (kobo)- Adjusted
5
4
Dividend per share (kobo)-Adjusted
1
Statement of Cash Flows
For the period ended 31 July 2009
Cash flows from operating activities
Net profit
216,718,385
261,292,717
Depreciation
101,121,343
35,611,283
Profit on sale of fixed assets
-23,200,000
Dimunition in investment
17,524,031
Operating cash flow before changes in operating assets
335363759
273704000
Increase/(decrease) in operating assets/liabilities stock
973,208,343
1,023,425,824
Debtors
927,164,367
780,107,824
Creditors
995,967,399
81,761,000
-324885363
-262189000
Tax paid
-9129731
Net cash from operating activities
1348665
11515000
Cash flows from investing activities
Purchase of fixed Assets
-1,003,323,886
-1,839,979,100
Purchase of investments
1,064,307,824
Proceed from sale of fixed assets
23,201,000
-1003323886
-1826212100
Cash flows from financing activities
Share capital
1,848,488,290
Share premium account
954,912,309
Deposit for shares
-1,645,662,100
1,625,662,100
Dividend paid
-15,000,000
Bonus issue reserve account
889,502,824
973499499
1610662100
Net Increase in cash and cash equivalents
1,045,266,102
869,706,824
Bank and cash balances at 1 August
797,318,824
1,001,353,824
Bank and cash balances as at 31 July
-304898722
-276423000
Represented by:
Cash and Bank Balances
3,193,021
3,284,000
Bank overdraft
765,650,081
794,034,824
-304898722
-276423000
Investment Valuation Ratios
Dividend Per Share
Profitability Ratios
Return On Net Worth(%)
0.05%
Return on Assets
0.05%
Liquidity And Solvency Ratios
Current Ratio
Quick Ratio
Debt Equity Ratio
0
Long Term Debt Equity Ratio
Debt Coverage Ratios
Total Assets Turnover Ratio
1
Working Capital
Number of Days In Working Capital
Cash Flow Indicator Ratios
Earning Retention Ratio
Earnings Per Share
0
PBT Margin
0%
PAT Margin
0%
Dividend yield
P/E
P/BV
Announcement Date
Agm Date
Book Closure
Address
26th March, 2010
2010-05-21
2010-05-10
Bonus
Bonus Type
Announcement Date
Payment Date
Closure Date
Dividend
Dividend Type
Announcement Date
Payment Date
Closure Date
0.01
FINAL
1st April, 2010
--
2010-05-10
Right Ratio
Face Value
Announcement Date
Record Date
Ex-right Date
Premium
Old Face Value
New Face Value
Announcement Date
Ex-split Date
Meeting Date
Remark/Outcome