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Eco (Atlantic) Oil and Gas Ltd. Announces Results for Three & Six Months Ended 30 Sept 2023

Eco (Atlantic) Oil and Gas Ltd. Announces Results for Three & Six Months Ended 30 Sept 2023

Eco(大西洋)石油和天然氣有限公司公佈截至2023年9月30日的三個月和六個月業績
Accesswire ·  2023/11/30 15:50

TORONTO, ON / ACCESSWIRE / November 30, 2023 / Eco (Atlantic) Oil & Gas Ltd. (AIM:ECO)(TSX‐V:EOG), the oil and gas exploration company focused on the offshore Atlantic Margins, is pleased to announce its results for the three and six month periods ended 30 September 2023.

安大略省多倫多/ACCESSWIRE/2023年11月30日/專注於近海大西洋利潤率的石油和天然氣勘探公司Eco(大西洋)石油和天然氣有限公司(AIM: ECO)(TSX-V: EOG)欣然宣佈截至2023年9月30日的三個月和六個月的業績。

Highlights:

亮點:

Financials (as at 30 September 2023)

財務狀況(截至2023年9月30日)

  • The Company had cash and cash equivalents of US$3.85 million and no debt.
  • The Company had total assets of US$51.0 million, total liabilities of US$1.71 million and total equity of US$49.30 million.
  • 該公司擁有385萬美元的現金及現金等價物,沒有債務。
  • 該公司的總資產爲5,100萬美元,總負債爲171萬美元,總權益爲4,930萬美元。

Operations:

操作:

Guyana

圭亞那

  • On 10 August 2023, the Company signed a Sale Purchase Agreement for its wholly owned subsidiary, Eco Guyana Oil and Gas (Barbados) Limited to acquire a 60% Operated Interest in Orinduik Block, offshore Guyana, through the acquisition of Tullow Guyana B.V., a wholly owned subsidiary of Tullow Oil Plc. in exchange for a combination of upfront cash and contingent consideration (the "Transaction").
  • 2023年8月10日,公司簽署了其全資子公司Eco Guyana石油和天然氣(巴巴多斯)有限公司的銷售購買協議,通過收購塔洛石油公司的全資子公司Tullow Guyana B.V.,以換取前期現金和或有對價的組合(“交易”),收購圭亞那近海奧林杜克區塊60%的運營權益。

Post-period end:

期末期末:

  • On 15 November 2023, Eco announced that the Company had received Government approval for the transfer of 60% Working Interest and Operatorship in the offshore Orinduik Block in Guyana from the Minister of Natural Resources, Cooperative Republic of Guyana.
  • On 21 November 2023, the Company announced completion of the Transaction, upon which Eco became the designated Operator of the Orinduik Block and increase its aggregate Participating Interest to 75%, held via Eco Orinduik B.V. (60%) and Eco (Atlantic) Guyana Inc (15%). TOQAP Guyana B.V continues to hold a Participating Interest of 25%.
  • A formal farm-out process for the Orinduik Block has commenced and the Company expects to provide further updates in due course.
  • 2023年11月15日,Eco宣佈,該公司已獲得圭亞那合作共和國自然資源部長的政府批准,轉讓圭亞那奧林杜克海上區塊60%的營運權益和運營權。
  • 2023年11月21日,公司宣佈交易完成,此後,Eco成爲奧林杜克區塊的指定運營商,並將其通過Eco Orinduik B.V.(60%)和Eco(大西洋)圭亞那公司(15%)持有的總參與權益增加到75%。TOQAP 圭亞那有限公司繼續持有25%的分紅權益。
  • Orinduik區塊的正式分包程序已經開始,該公司希望在適當的時候提供進一步的最新消息。

South Africa

南非

Block 3B/4

Block 3B/4

  • On 17 July 2023, the Company issued 1,200,000 shares to the Lunn Family Trust in place of the US$500,000 cash consideration due in respect of the acquisition of the 6.25% interest in Block3B/4B from the Lunn Family Trust as previously announced on 27 June 2022.
  • On 11 July 2023, the Company signed a legally binding Letter of Intent with Africa Oil to farm out a 6.25% Participating Interest in Block 3B/4B, offshore South Africa for up to US$10.5 million in cash. On 14 August 2023, the parties signed the final Assignment and Transfer agreement. Additional US$2.5m cash consideration is expected to be received upon Government of SA approval of the transfer, with the initial consideration of US$2.5m already having been received.
  • Government of SA approval and therefore the $2.5m cash payment from Africa Oil are expected to be received by year end 2023.
  • The JV partners continue to progress a farm-out, in conjunction with preparations for a two well drilling campaign on the Block. Further updates will be made as appropriate.
  • 2023年7月17日,該公司向倫恩家族信託發行了120萬股股票,以代替先前於2022年6月27日宣佈的從倫恩家族信託基金手中收購Block3B/4B6.25%權益的50萬美元現金對價。
  • 2023年7月11日,公司與非洲石油公司簽署了一份具有法律約束力的意向書,將南非近海3B/4B區塊6.25%的參與權益分包出最高1,050萬美元的現金。2023 年 8 月 14 日,雙方簽署了最終的轉讓和轉讓協議。在南澳政府批准轉讓後,預計將收到額外的250萬美元現金對價,250萬美元的初始對價已經收到。
  • 南澳政府的批准,因此預計將在2023年底之前收到非洲石油公司的250萬美元現金。
  • 合資夥伴繼續推進分包,同時爲區塊上的兩口井鑽探活動做準備。將酌情進行進一步更新。

Block 2B

2B 區塊

  • Eco has applied for a Production Right Application to the Petroleum Agency of South Africa, for Block 2B, and continues to assess opportunities available to deliver value from this licence for the benefit of stakeholders.
  • Eco已向南非石油局申請了2B區塊的生產權申請,並將繼續評估從該許可證中創造價值的機會,以造福利益相關者。

Namibia

納米比亞

  • Following media reports that significant multi-well drilling campaigns are about to be undertaken offshore Namibia, Eco continues to receive third party interest in its strategic acreage position offshore Namibia.
  • The Company continues to assess farm out opportunities with its four licences in the region as it considers options for progressing exploration and commercial activity on its acreage.
  • 在媒體報道納米比亞近海即將進行大規模的多井鑽探活動之後,Eco繼續獲得第三方對其納米比亞近海戰略面積的權益。
  • 該公司繼續評估其在該地區的四個許可證的分包機會,同時考慮在其土地上進行勘探和商業活動的備選方案。

Board Changes:

董事會變動:

  • Post period end, on October 9, 2023, the Company announced the appointment of Miss Alice Carroll and Miss Selma Usiku as executive and non-executive directors respectively of the Company with immediate effect, with Helmut Angula retiring from the Board.
  • 2023年10月9日,公司宣佈任命愛麗絲·卡羅爾小姐和塞爾瑪·烏西庫小姐分別爲公司的執行和非執行董事,立即生效,赫爾穆特·安古拉將從董事會退休。

Gil Holzman, President and Chief Executive Officer of Eco Atlantic, commented:

Eco Atlantic總裁兼首席執行官吉爾·霍爾茲曼評論說:

"We have made progress on all fronts across our exploration portfolio in 2023. The most notable development was the acquisition of a 60% Working Interest in the Orinduik Block, offshore Guyana, from a subsidiary of Tullow Oil Plc. This transaction made Eco the Operator of the licence and brings our total stake in the Block to 75%. We have already commenced with a farm-out process and opened a data room, receiving early interest from a number of multi-national oil and gas companies.

“2023年,我們在勘探投資組合的各個方面都取得了進展。最引人注目的進展是從塔洛石油公司的子公司手中收購了圭亞那近海奧林杜克區塊60%的營運權益。這筆交易使Eco成爲許可證的運營商,使我們在該區塊中的總股份達到75%。我們已經開始了分包流程並開設了一個數據室,這引起了許多跨國石油和天然氣公司的早期興趣。

"Also, offshore South Africa, we continue to progress plans for a two-well campaign on Block 3B/4B in parallel to continuing farm-out discussions with various large industry partners. In Namibia, we continue to receive incoming interest with regard to our highly strategic acreage position, which has increased following recent media reports of multi-well drilling campaigns being lined up.

“此外,在南非近海,我們將繼續推進在3B/4B區塊進行雙井作業的計劃,同時繼續與各種大型行業合作伙伴進行分包討論。在納米比亞,我們的高度戰略性土地面積繼續受到人們的關注,在最近有媒體報道多井鑽探活動正在進行之後,這種興趣有所增加。

"In closing, the last two quarters of 2023 have been a highly active period for us, and we look forward to sharing further updates on the ongoing farm out workstreams and drilling plans with our stakeholders as and when we are in a position to do so."

“總而言之,2023年的最後兩個季度對我們來說是一個非常活躍的時期,我們期待在有能力的時候與利益相關者分享有關正在進行的外包工作流程和鑽探計劃的進一步更新。”

The Company's unaudited financial results and Management's Discussion and Analysis for the three and six months ended 30 September 2023 are available for download on the Company's website at and on Sedar at .

公司截至2023年9月30日的三個月和六個月的未經審計的財務業績和管理層的討論與分析可在網站上下載 公司的 網站位於 Sedar 及其上,網址爲。

The following are the Company's Balance Sheet, Income Statements, Cash Flow Statement and selected notes from the annual Financial Statements. All amounts are in US Dollars, unless otherwise stated.

以下是公司的資產負債表、損益表、現金流量表和年度財務報表中的精選附註。除非另有說明,否則所有金額均以美元爲單位。

Balance Sheet

資產負債表

September 30,

March 31,

2023

2023

Assets
Current Assets
Cash and cash equivalents

3,850,448

4,110,734

Short-term investments

13,107

13,107

Government receivable

30,550

22,494

Amounts owing by license partners, net

-

477,578

Accounts receivable and prepaid expenses

164,142

1,529,451

Total Current Assets

4,058,247

6,153,364

Non- Current Assets
Investment in associate

8,279,820

8,612,267

Petroleum and natural gas licenses

38,668,895

40,852,020

Total Non-Current Assets

46,948,715

49,464,287

Total Assets

51,006,962

55,617,651

Liabilities
Current Liabilities
Accounts payable and accrued liabilities

1,410,571

4,416,789

Advances from and amounts owing to license partners, net

298,775

286,553

Warrant liability

-

261,720

Total Current Liabilities

1,709,346

4,965,062

Total Liabilities

1,709,346

4,965,062

Equity
Share capital

122,088,498

121,570,983

Restricted Share Units reserve

920,653

920,653

Warrants

14,778,272

14,778,272

Stock options

2,900,501

2,804,806

Foreign currency translation reserve

(1,744,484)

(1,458,709)

Accumulated deficit

(89,645,824)

(87,963,416)

Total Equity

49,297,616

50,652,589

Total Liabilities and Equity

51,006,962

55,617,651

9月30日

3月31日

2023

2023

資產
流動資產
現金和現金等價物

3,850,448

4,110,734

短期投資

13,107

13,107

政府應收賬款

30,550

22,494

許可證合作伙伴欠款,淨額

-

477,578

應收賬款和預付費用

164,142

1,529,451

流動資產總額

4,058,247

6,153,364

非流動資產
對聯營公司的投資

8,279,820

8,612,267

石油和天然氣許可證

38,668,895

40,852,020

非流動資產總額

46,948,715

49,464,287

總資產

51,006,962

55,617,651

負債
流動負債
應付賬款和應計負債

1,410,571

4,416,789

來自許可證合作伙伴的預付款和應付金額,淨額

298,775

286,553

認股權證責任

-

261,720

流動負債總額

1,709,346

4,965,062

負債總額

1,709,346

4,965,062

公平
股本

122,088,498

121,570,983

限制性股票單位儲備

920,653

920,653

認股證

14,778,272

14,778,272

股票期權

2,900,501

2,804,806

外幣折算儲備

(1,744,484)

(1,458,709)

累計赤字

(89,645,824)

(87,963,416)

權益總額

49,297,616

50,652,589

負債和權益總額

51,006,962

55,617,651

Income Statement

損益表

Three months ended

Six months ended

September 30,

September 30,

2023

2022

2023

2022

Revenue
Interest income

21

36,325

1,686

56,452

21

36,325

1,686

56,452

Operating expenses:
Compensation costs

236,556

210,605

420,998

479,914

Professional fees

202,557

240,894

298,560

460,579

Operating costs, net

411,201

11,097,960

761,381

13,041,411

General and administrative costs

160,569

350,864

273,042

608,154

Share-based compensation

(15,817)

750,667

95,695

1,751,886

Foreign exchange loss

139,795

690,794

99,745

975,221

Total operating expenses

1,134,861

13,341,784

1,949,421

17,317,165

Operating loss

(1,134,840)

(13,305,459)

(1,947,735)

(17,260,713)

Gain on settlement of liability

(200,640)

-

(200,640)

-

Fair value change in warrant liability

-

415,712

261,720

1,846,696

Share of losses of company accounted for at equity

(166,223)

(92,302)

(332,447)

(184,605)

Net loss for the period from continuing operations, before taxes

(1,501,703)

(12,982,049)

(2,219,102)

(15,598,622)

Tax recovery

536,694

-

536,694

-

Net loss for the period from continuing operations. After taxes

(965,009)

(12,982,049)

(1,682,408)

(15,598,622)

Loss from discontinued operations, after-tax

-

(800,210)

-

(898,323)

Net loss for the period

(965,009)

(13,782,259)

(1,682,408)

(16,496,945)

Foreign currency translation adjustment

9,901

(441,472)

(285,775)

(553,102)

Comprehensive loss for the period

(955,108)

(14,223,731)

(1,968,183)

(17,050,047)

Basic and diluted net loss per share:
from continuing operations

(0.004)

(0.038)

(0.006)

(0.049)

from discontinued operations

(0.000)

(0.002)

(0.000)

(0.003)

Weighted average number of ordinary shares used in computing basic and diluted net loss per share

369,421,234

343,966,022

368,390,620

319,575,745

三個月已結束

六個月已結束

9月30日

9月30日

2023

2022

2023

2022

收入
利息收入

21

36,325

1,686

56,452

21

36,325

1,686

56,452

運營費用:
補償成本

236,556

210,605

420,998

479,914

專業費用

202,557

240,894

298,560

460,579

運營成本,淨額

411,201

11,097,960

761,381

13,041,411

一般費用和管理費用

160,569

350,864

273,042

608,154

基於股份的薪酬

(15,817)

750,667

95,695

1,751,886

外匯損失

139,795

690,794

99,745

975,221

運營費用總額

1,134,861

13,341,784

1,949,421

17,317,165

營業虧損

(1,134,840)

(13,305,459)

(1,947,735)

(17,260,713)

清償負債的收益

(200,640)

-

(200,640)

-

認股權證負債的公允價值變化

-

415,712

261,720

1,846,696

按權益計入的公司虧損份額

(166,223)

(92,302)

(332,447)

(184,605)

該期間持續經營的稅前淨虧損

(1,501,703)

(12,982,049)

(2,219,102)

(15,598,622)

稅收回收

536,694

-

536,694

-

該期間持續經營的淨虧損。稅後

(965,009)

(12,982,049)

(1,682,408)

(15,598,622)

已終止業務的稅後虧損

-

(800,210)

-

(898,323)

該期間的淨虧損

(965,009)

(13,782,259)

(1,682,408)

(16,496,945)

外幣折算調整

9,901

(441,472)

(285,775)

(553,102)

該期間的全面損失

(955,108)

(14,223,731)

(1,968,183)

(17,050,047)

基本和攤薄後的每股淨虧損:
來自持續運營

(0.004)

(0.038)

(0.006)

(0.049)

來自已終止的業務

(0.000)

(0.002)

(0.000)

(0.003)

用於計算基本和攤薄後每股淨虧損的普通股加權平均數

369,421,234

343,966,022

368,390,620

319,575,745

Cash Flow Statement

現金流量表

Six months ended

September 30,

2023

2022

Cash flow from operating activities - continued operations
Net loss from continuing operations

(1,682,408)

(15,598,622)

Items not affecting cash:
Share-based compensation

95,695

1,751,886

Revaluation of warrant liability

(261,720)

(1,846,696)

Share of losses of companies accounted for at equity

332,447

184,605

Changes in non‐cash working capital:
Government receivable

(8,056)

(5,169)

Accounts payable and accrued liabilities

(2,805,578)

1,601,059

Accounts receivable and prepaid expenses

1,365,309

(948,297)

Reallocation to discontinued operations cashflows

-

419,113

Advance from and amounts owing to license partners

489,800

1,486,236

Cash flow from operating activities - continued operations

(2,474,511)

(12,955,885)

Cash flow from operating activities - discontinued operations

-

(1,069,617)

Cash flow from investing activities
Proceeds from Block 3B/4B farmout

2,500,000

-

Cash flow from investing activities - continued operations

2,500,000

-

Cash flow from financing activities
Proceeds from private placements, net

-

35,662,446

Exercise of stock options

-

67,406

Cash flow from financing activities

-

35,729,852

Increase in cash and cash equivalents

25,489

21,704,350

Foreign exchange differences

(285,775)

(553,102)

Cash and cash equivalents, beginning of period

4,110,734

3,438,834

Cash and cash equivalents, end of period

3,850,448

24,590,082

六個月已結束

9月30日

2023

2022

來自經營活動的現金流-持續經營
持續經營業務的淨虧損

(1,682,408)

(15,598,622)

不影響現金的物品:
基於股份的薪酬

95,695

1,751,886

認股權證負債的重估

(261,720)

(1,846,696)

按權益計算的公司虧損份額

332,447

184,605

非現金營運資金的變化:
政府應收賬款

(8,056)

(5,169)

應付賬款和應計負債

(2,805,578)

1,601,059

應收賬款和預付費用

1,365,309

(948,297)

向已終止業務重新分配現金流

-

419,113

許可證合作伙伴的預付款和應付金額

489,800

1,486,236

來自經營活動的現金流-持續經營

(2,474,511)

(12,955,885)

來自經營活動的現金流-已終止業務

-

(1,069,617)

來自投資活動的現金流
3B/4B 區塊農場的收益

2,500

-

來自投資活動的現金流——持續經營

2,500

-

來自融資活動的現金流
私募收益,淨額

-

35,662,446

行使股票期權

-

67,406

來自融資活動的現金流

-

35,729,852

現金和現金等價物的增加

25,489

21,704,350

外匯差額

(285,775)

(553,102)

現金和現金等價物,期初

4,110,734

3,438,834

現金和現金等價物,期末

3,850,448

24,590,082

Notes to the Financial Statements

財務報表附註

Basis of Preparation

準備基礎

The consolidated financial statements of the Company have been prepared on a historical cost basis with the exception of certain financial instruments that are measured at fair value. Historical cost is generally based on the fair value of the consideration given in exchange for assets.

公司的合併財務報表是根據歷史成本編制的,某些以公允價值計量的金融工具除外。歷史成本通常基於爲換取資產而給出的對價的公允價值。

Summary of Significant Accounting Policies

重要會計政策摘要

Critical accounting estimates

關鍵會計估計

Estimates and underlying assumptions are reviewed on an ongoing basis. Revisions to accounting estimates are recognized prospectively from the period in which the estimates are revised. The following are the key estimate and assumption uncertainties considered by management.

對估計數和基本假設進行持續審查。對會計估計數的修訂是從訂正估計數的期間開始前瞻性地確認的。以下是管理層考慮的關鍵估計和假設不確定性。

**ENDS**

**結束**

For more information, please visit or contact the following:

欲了解更多信息,請訪問 或者聯繫以下人員:

Eco Atlantic Oil and Gas

c/o Celicourt +44 (0) 20 8434 2754

Gil Holzman, CEO

Colin Kinley, COO

Alice Carroll, Executive Director

+44(0)781 729 5070

Strand Hanson Limited (Financial & Nominated Adviser)

+44 (0) 20 7409 3494

James Harris

James Bellman

Berenberg (Broker)

+44 (0) 20 3207 7800

Matthew Armitt

Detlir Elezi

Echelon Capital (Financial Adviser N. America Markets)

Ryan Mooney

Simon Akit

+1 (403) 606 4852

+1 (416) 8497776

Celicourt (PR)

+44 (0) 20 7770 6424

Mark Antelme

Jimmy Lea

生態大西洋石油和天然氣

c/o Celicourt +44 (0) 20 8434 2754

首席執行官吉爾·霍爾茲曼

Colin Kinley,首席運營官

愛麗絲·卡羅爾,執行董事

+44 (0) 781 729 5070

Strand Hanson Limited(財務和提名顧問)

+44 (0) 20 7409 3494

詹姆斯哈里

詹姆斯貝爾曼

貝倫伯格(經紀人)

+44 (0) 20 3207 7800

馬修·阿米特

Detlir Elezi

Echelon Capital(北美市場財務顧問)

瑞安·穆尼

西蒙·阿基特

+1 (403) 606 4852

+1 (416) 8497776

Celicourt (PR)

+44 (0) 20 7770 6424

馬克·安特爾姆

吉米·李

Notes to editors:

編者注:

About Eco Atlantic:

關於生態大西洋:

Eco Atlantic is a TSX-V and AIM-quoted Atlantic Margin-focused oil & gas exploration company with offshore license interests in Guyana, Namibia, and South Africa. Eco aims to deliver material value for its stakeholders through its role in the energy transition to explore for low carbon intensity oil and gas in stable emerging markets close to infrastructure.

Eco Atlantic是一家在多倫多證券交易所和AIM上市的專注於大西洋按金的石油和天然氣勘探公司,在圭亞那、納米比亞和南非擁有海上許可權益。Eco旨在通過其在能源轉型中的作用爲利益相關者創造物質價值,在靠近基礎設施的穩定新興市場中探索低碳強度的石油和天然氣。

Offshore Guyana in the proven Guyana-Suriname Basin, the Company is Operator and holds a 75% Working Interest in the 1,800 km2 Orinduik Block. In Namibia, the Company holds Operatorship and an 85% Working Interest in four offshore Petroleum Licences: PELs: 97, 98, 99, and 100, representing a combined area of 28,593 km2 in the Walvis Basin.

在久經考驗的圭亞那-蘇里南盆地的圭亞那近海,該公司是運營商,持有1,800公里75%的營運權益2 Orinduik Block。在納米比亞,該公司持有四個海上石油許可證的運營權和85%的營運權益:PEL:97、98、99和100,代表沃爾維斯盆地的總面積爲28,593平方公里。

Offshore South Africa, Eco is Operator and holds a 50% working interest in Block 2B and a 26.25% Working Interest in Block 3B/4B operated by Africa Oil Corp., totalling some 20,643km2.

在南非近海,Eco是運營商,持有2B區塊50%的營運權益和非洲石油公司運營的3B/4B區塊26.25%的營運權益,總面積約爲20,643km2。

Cautionary Notes:

注意事項:

This news release contains certain "forward-looking statements", including, without limitation, statements containing the words "will", "may", "expects", "intends", "anticipates" and other similar expressions which constitute "forward-looking information" within the meaning of applicable securities laws. Forward-looking statements reflect the Company's current expectations, assumptions, and beliefs, and are subject to a number of risks and uncertainties that could cause actual results to differ materially from those anticipated. These forward-looking statements are qualified in their entirety by the inherent risks and uncertainties surrounding future expectations.

本新聞稿包含某些 “前瞻性陳述”,包括但不限於包含 “將”、“可能”、“期望”、“打算”、“預期” 等詞語的陳述以及構成適用證券法所指的 “前瞻性信息” 的其他類似表述方式。前瞻性陳述反映了公司當前的預期、假設和信念,並存在許多風險和不確定性,這些風險和不確定性可能導致實際業績與預期結果存在重大差異。這些前瞻性陳述完全受圍繞未來預期的固有風險和不確定性的限制。

Important factors that could cause actual results to differ materially from expectations include, but are not limited to, general economic and market factors, competition, the effect of the global pandemic and consequent economic disruption, and the factors detailed in the Company's ongoing filings with the securities regulatory authorities, available at . Although forward-looking statements contained herein are based on what management considers to be reasonable assumptions based on currently available information, there can be no assurance that actual events, performance or results will be consistent with these forward-looking statements, and our assumptions may prove to be incorrect. Readers are cautioned not to place undue reliance on these forward-looking statements. The Company undertakes no obligation to publicly update or revise any forward-looking statements either as a result of new information, future events or otherwise, except as required by applicable laws.

可能導致實際業績與預期存在重大差異的重要因素包括但不限於總體經濟和市場因素、競爭、全球疫情和隨之而來的經濟混亂的影響,以及公司向證券監管機構持續提交的文件中詳述的因素,網址爲。儘管此處包含的前瞻性陳述基於管理層根據當前可用信息認爲合理的假設,但無法保證實際事件、業績或業績會與這些前瞻性陳述一致,我們的假設也可能被證明是不正確的。提醒讀者不要過分依賴這些前瞻性陳述。除非適用法律要求,否則公司沒有義務根據新信息、未來事件或其他原因公開更新或修改任何前瞻性陳述。

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit .

該信息由倫敦證券交易所的新聞服務RNS提供。RNS已獲得金融行爲監管局的批准,成爲英國的主要信息提供商。與使用和分發此信息相關的條款和條件可能適用。欲了解更多信息,請聯繫 rns@lseg.com 或訪問。

SOURCE: Eco (Atlantic) Oil and Gas Ltd.

來源:Eco(大西洋)石油和天然氣有限公司


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