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For the six months ended 30 June 2020, Painted Pony Energy Ltd revenues decreased 12% to C$122.9M. Net loss increased from C$17.3M to C$315.6M. Revenues reflect a decrease in demand for the Company's products and services due to unfavorable market conditions. Higher net loss reflects Average Production Costs per unit, Total increase of 44% to C$10.83 per barrel, Transportation increase of 30% to C$51.8M (expense).
Period Ending: | Jun 30, 2020 | Mar 31, 2020 | Dec 31, 2019 | Sep 30, 2019 |
---|---|---|---|---|
Total Revenue | 55.7 | 67.21 | 57.86 | 35.29 |
Gross Profit | 22.82 | 45.11 | 44.44 | 22.03 |
Operating Income | -25.2 | -265.45 | -149.53 | -26.84 |
Net Income | -33.54 | -282.05 | -178.47 | -37.05 |
Period Ending: | Jun 30, 2020 | Mar 31, 2020 | Dec 31, 2019 | Sep 30, 2019 |
---|---|---|---|---|
Total Assets | 1099.28 | 1105.81 | 1803.45 | 2018.19 |
Total Liabilities | 553.37 | 526.76 | 942.62 | 979.44 |
Total Equity | 545.9 | 579.06 | 860.82 | 1038.76 |
Period Ending: | Jun 30, 2020 | Mar 31, 2020 | Dec 31, 2019 | Sep 30, 2019 |
---|---|---|---|---|
Period Length: | 6 Months | 3 Months | 12 Months | 9 Months |
Cash From Operating Activities | 12.56 | 20.86 | 88.55 | 79.53 |
Cash From Investing Activities | -37.85 | -16.89 | -39.88 | -68.52 |
Cash From Financing Activities | 25.29 | -3.97 | -48.67 | -11.01 |
Net Change in Cash | 0 | 0 | 0 | 0 |
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