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Pin to quick picks88 Energy Regulatory News (88E)

Share Price Information for 88 Energy (88E)

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Share Price: 0.1025
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Half-yearly Report

24 Sep 2014 07:00

TANGIERS PETROLEUM LIMITED - Half-yearly Report

TANGIERS PETROLEUM LIMITED - Half-yearly Report

PR Newswire

London, September 24

23 September 2014 TANGIERS PETROLEUM LIMITED Half Year Report for the Period Ending 30 June 2014 Set out below is a summary of Tangiers Petroleum Limited's ("Tangiers" or theCompany") half yearly report for the period ended 30 June 2014 as extractedfrom the Half Year Report, being: Statement of Comprehensive Income; Statement of Financial Position; Statement of Changes in Equity; and Statement of Cash Flows. A copy of the full Half Year Report, including notes as referenced below, isavailable on the Company's website at www.tangierspetroleum.com and also fromthe Australian Securities Exchange website at www.asx.com.au (ASX code: TPT). CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME FOR THE HALF YEAR ENDED 30 JUNE 2014 Note 2014 2013 A$ A$ Income 3(a) 431,800 431,800 Administration expenses 3(b) (992,204) (992,204) Occupancy expenses (308,905) (308,905) Employment benefit expenses 3(c) (510,022) (510,022) Share based payment expense 9 (450,171) (450,171) Depreciation and amortisation expense (12,060) (12,060) Exploration expenditure expensed as (10,816) (10,816)incurred Exploration expenses written off - - Interest expense (703) (703) Loss before income tax (2,137,811) (2,137,811) Income tax expense - - Net loss attributable to members of the (2,137,811) (2,137,811)parent Other comprehensive income for the year - - Total comprehensive income for the year (2,137,811) (2,137,811) Basic and diluted loss per share (1.64) (1.64)(cents) CONSOLIDATED STATEMENT OF FINANCIAL POSITION AS AT 30 JUNE 2014 Note June 2014 June 2013 A$ A$ ASSETS Current Assets Cash and cash equivalents 5 1,741,636 1,741,636 Other receivables 259,159 259,159 Total Current Assets 2,000,795 2,000,795 Non-Current Assets Plant and equipment 60,035 60,035 Other financial assets 6 3,459,898 3,459,898 Exploration and evaluation expenditure 7 9,502,039 9,502,039 Total Non-Current Assets 13,021,972 13,021,972 TOTAL ASSETS 15,022,767 15,022,767 LIABILITIES Current Liabilities Trade and other payables 521,956 521,956 Total Current Liabilities 521,956 521,956 TOTAL LIABILITIES 521,956 521,956 NET ASSETS 14,500,811 14,500,811 EQUITY Contributed equity 8 49,198,225 49,198,225 Share based payment reserves 10,546,273 10,546,273 Accumulated losses (45,243,687) (45,243,687) TOTAL EQUITY 14,500,811 14,500,811 STATEMENTS OF CHANGES IN EQUITY FOR THE HALF YEAR ENDED 30 JUNE 2014 Contributed Restated Restated Total equity Share based Accumulated equity A$ payment losses reserve A$ A$ A$ Balance at 1 January 2013 49,196,225 10,096,102 (43,105,876) 16,186,451 Loss for the period - - (2,137,811) (2,137,811) Other comprehensive income - - - - Total comprehensive loss for the - - (2,137,811) (2,137,811)period, net of tax Shares issued during the period 2,000 - - 2,000 Share based payments - 450,171 - 450,171 Balance at 30 June 2013 49,198,225 10,546,273 (45,243,687) 14,500,811 Balance at 1 January 2013 49,196,225 10,096,102 (43,105,876) 16,186,451 Loss for the period - - (2,137,811) (2,137,811) Other comprehensive income - - - - Total comprehensive loss for the - - (2,137,811) (2,137,811)period, net of tax Shares issued during the period 2,000 - - 2,000 Share based payments - 450,171 - 450,171 Balance at 30 June 2013 49,198,225 10,546,273 (45,243,687) 14,500,811 STATEMENTS OF CASH FLOWS FOR THE HALF YEAR ENDED 30 JUNE 2014 Note 2014 2013 A$ A$ Cash flows from operating activities Interest received 38,376 38,376 Payments to suppliers and employees (1,617,981) (1,617,981) Net cash flows used in operating (1,579,605) (1,579,605)activities Cash flows from investing activities Payments for exploration and evaluation (369,964) (369,964)activities Payments for plant and equipment (28,385) (28,385) Payments for bonds and guarantees - - Purchase of available-for-sale (609,402) (609,402)investments Proceeds from available-for-sale 150,369 150,369investments Net cash flows used in investing (857,382) (857,382)activities Cash flows from financing activities Proceeds from issue of securities 2,000 2,000 Share issue costs - - Net cash flows from financing activities 2,000 2,000 Net decrease in cash and cash (2,434,987) (2,434,987)equivalents Net foreign exchange differences 1,713 1,713 Cash and cash equivalents at beginning 4,174,910 4,174,910of year Cash and cash equivalents at end of year 5 1,741,636 1,741,636 Sarah SmithJoint Company SecretaryTangiers Petroleum LimitedLevel 2, 5 Ord StreetWest Perth WA 6005, AustraliaPh: + 61 8 9485 0990www.tangierspetroleum.com ContactsRFC Ambrian LimitedAs Nominated AdviserMr Oliver Morse / Ms Trinity McIntyre+61 8 9480 2500 As Corporate BrokerMr Charlie Cryer+44 20 3440 6800
Date   Source Headline
20th Jan 20167:42 amRNSResult of General Meeting
20th Jan 20167:33 amRNSIcewine #1 Core Evaluation Update
29th Dec 20157:52 amRNSIcewine #1 Final Drilling Update
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18th Dec 201510:23 amRNSCleansing Notice and Issue of Shares
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15th Dec 20158:04 amRNSIcewine #1 Drilling Update
14th Dec 20158:10 amRNSIcewine #1 Drilling Update
9th Dec 20158:00 amRNSIcewine #1 Drilling Update
3rd Dec 20158:38 amRNSIcewine #1 Drilling Update
30th Nov 20158:43 amRNSIssue of Equity
30th Nov 20157:00 amRNSIcewine #1 Drilling Update
27th Nov 201510:39 amRNSGrant of ASX Waiver
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24th Nov 201511:42 amRNSIssue of Equity
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23rd Nov 201510:13 amRNSShare Purchase Plan
20th Nov 20157:54 amRNSOversubscribed Placement to Raise $3 Million
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18th Nov 20157:00 amPRNWeekly Drilling Update
13th Nov 20157:09 amRNSDrilling update
6th Nov 201510:15 amRNSIcewine #1 Weekly Drilling Update
5th Nov 20158:04 amRNSIcewine Presentation
30th Oct 201510:00 amRNSChange of Director's Interest Notice
30th Oct 20159:53 amRNSIssue of Options
30th Oct 20157:41 amRNSResult of General Meeting
30th Oct 20157:40 amRNSDrilling Update
29th Oct 20158:29 amRNSQuarterly Report
23rd Oct 20157:00 amPRNDrilling Commences at Icewine
22nd Oct 20157:54 amRNSPermit To Drill Approved
19th Oct 20159:31 amRNSPermit Progress Update
14th Oct 20154:40 pmRNSSecond Price Monitoring Extn
14th Oct 20154:35 pmRNSPrice Monitoring Extension
12th Oct 201510:08 amRNSSpill Plan Approved, Permit to Drill Delayed
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29th Sep 201511:05 amRNSNotice of General Meeting
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14th Sep 201510:29 amRNSInvestor Presentation
11th Sep 201511:46 amRNSLodgement of Interim Report
10th Sep 20157:56 amRNSRig Contract Executed for Imminent Spud of Icewine
1st Sep 20158:15 amRNSIssue of Options
28th Aug 20157:00 amPRNIssue of Equity
27th Aug 201510:21 amPRNPublication of Prospectus
26th Aug 20158:08 amPRNTransfer of Title Complete - Icewine
24th Aug 20159:11 amPRNClose of Bank of America Funding Facility
21st Aug 20157:00 amPRNResult of EGM
3rd Aug 201512:43 pmRNSEdison issues research update on 88 Energy
30th Jul 20159:50 amPRNIssue of Equity

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