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Vantage Drilling Company发布2010年第一季度业绩报告

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   Marketwire2010年5月11日电/明通新闻专线/--  
    Vantage Drilling Company(简称Vantage)(纽约证券交易所/美国证券交易所:VTG.U)、(纽约证券交易所/美国证券交易所:VTG)、(纽约证券交易所/美国证券交易所:VTG.WS)今天报告说,截止至2010年3月31日的三个月的净收入为600万美元,或摊薄后每股收入为0.03美元,相比之下,截止至    2009年3月31日的三个月的净收入为240万美元,或摊薄后每股收入为0.03美元。

    Vantage是一家获得开曼群岛豁免资格的海上钻井承包商,运营有四座Baker Marine Pacific Class 375高级自升式钻井平台,并且目前正开发深海钻探平台Platinum Explorer。Vantage还向一家附属公司提供另外两座深海钻井平台的管理服务,以及向Sea Dragon提供深海半潜式钻井平台的管理服务。

    上述信息含有根据1933年证券法和1934年证券交易法界定的前瞻性声明。这些前瞻性声明受制于特定的风险、不确定性和假设,这些风险、不确定性和假设如上所示或者在公司不时向美国证券交易委员会提交的文件中已有披露。由于这些因素的存在,实际结果可能与前瞻性声明中指示或暗示的有重大差异。

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      *T


                         Vantage Drilling Company
                                合并经营报表
                        (单位:千美元,每股金额除外)
                                (未经审计)

                                                          截止至3月31日
                                                              的三个月
                                                        ------------------
                                                          2010      2009
                                                        --------  --------
      收入
      承包钻井服务                                            $ 39,356  $  9,787
      管理费                                                     4,437     4,142
      可补偿费用                                                14,457       367
                                                           --------  --------
      总收入                                                    58,250    14,296
                                                           --------  --------
      经营成本和费用
      经营成本,不包括减值和
      终止成本                                                 30,659     5,640
      综合行政管理费                                             4,475     3,436
      折旧                                                       7,477     1,656
                                                           --------   --------
      经营费用总额                                              42,611    10,732
                                                           --------  --------
      经营收益(亏损)                                            15,639     3,564
      其他收益(费用)
      利息收益                                                      12         8
      利息费用                                                  (7,985)     (748)
      其他收益                                                     612        86
                                                           --------  --------
      其他收益(费用)总额                                      (7,361)     (654)
                                                           --------  --------
      所得税前收益(亏损)                                         8,278     2,910
      付所得税额                                                 2,315       552
                                                            --------  --------
      净收益                                                    $  5,963  $  2,358
                                                             ========  ========

      每股收益
      基础收益                                                $   0.03  $   0.03
      摊薄收益                                                $   0.03  $   0.03
     *T

      -0-
      *T

                             Vantage Drilling Company
                                  合并资产负债表
                           (单位:千美元,票面价值信息除外)


                                                     2010年         2009年
                                                    3月31日       12月31日
                                                  -----------    -----------
                    资产                           (未经审计)
      流动资产
      现金和现金当量                                    $   30,394  $    15,992
      限定用途现金                                          38,051       28,863
      应收款项                                              39,742       17,536
      库存                                                  11,802       10,789
      预付费用和其他流动资产                                11,343        8,040
                                                    -----------  -----------
     流动资产总额                                         131,332       81,220
                                                    -----------  -----------
      财产和设备
      财产和设备                                           911,476      899,541
      累积折旧                                             (18,806)     (11,329)
                                                     -----------  -----------
      财产和设备净值                                       892,670      888,212
                                                     -----------  -----------
      其他资产
      合资企业投资                                         122,265      120,306
      其他资产                                              28,722       29,441
                                                     -----------  -----------
      其他资产总额                                         150,987      149,747
                                                     -----------  -----------
      资产总额                                           $ 1,174,989  $ 1,119,179
                                                     ===========  ===========

      负债和股东权益
      流动负债
      应付帐款                                         $    17,849  $    15,931
      应计债务                                              21,692       14,285
      短期负债                                               3,434       17,827
      到期的长期负债                                        16,000       16,000
                                                     -----------  -----------
       流动负债总额                                          58,975       64,043
                                                      -----------  -----------

       长期负债,不含3,728和4,021美元折扣                     369,939      378,078
       承付款项与或有负债                                            -            -
       股东权益
       优先股,票面价值$0.001,10,000
       额定股数;未发行或已发行                                   -            -
       普通股,票面价值$0.001,400,000
       额定股数;236,009和187,277股份
       已发行股数                                              236          187
       附缴资本                                             777,796      714,486
       累积亏绌                                             (31,154)     (37,117)
       其他综合累积亏损                                        (803)        (498)
                                                      -----------  -----------
       股东总权益                                           746,075      677,058
                                                      -----------  -----------
       负债与股东权益总额                                 $ 1,174,989  $ 1,119,179
                                                     ===========  ===========
      *T
       0-
      *T


                         Vantage Drilling Company
                               合并现金流量表
                              (单位:千美元)
                                (未经审计)

                                                          截止至3月31日
                                                             的三个月
                                                        ------------------
                                                          2010       2009
                                                        --------   --------
      经营活动现金流
      净收益(亏损)                                            $  5,963  $  2,358
      将净收益调节为来自(用于)
      经营活动的净现金:
      折旧费用                                                   7,477     1,656
      股份补偿费用                                                 976       205
      股份补偿费用                                               1,526     1,142
      长期债务累积                                               1,217         -
      优先债券摊销折扣                                             293         -
      递延所得税可退税款                                             -         -
      经营资产和负债变动
      限定用途现金                                              (9,188)     (212)
      应收款项                                                 (22,205)   (9,686)
      库存                                                      (1,013)   (3,016)
      预付费用和其他流动资产                                    (3,304)      434
      其他资产                                                    (198)      (45)
      应付帐款                                                   1,919     1,983
      应计负债                                                   7,245     4,049
      短期债务                                                     904         -
                                                           --------  --------
      用于经营活动的净现金                                      (8,388)   (1,132)
                                                           --------  --------
      投资活动所得资金流
      资产购置                                                      -         -
      财产和设备的添加                                          (11,934)  (17,685)
      合资企业投资                                               (1,959)        -
      递延购置成本                                                   -         -
                                                            --------  --------
      用于投资活动的净现金                                       (13,893)  (17,685)
                                                            --------  --------
      融资活动所得现金流
      信贷协议下的借款所得                                                  10,821
      长期债务偿付                                               (9,649)     (465)
      公开发行普通股
       所得,净值                                                47,688         -
      短期债券偿付                                               (1,297)        -
      债务发行成本                                                  (59)        -
      应付债券股东所得                                                 -     4,000
                                                             --------  --------
      融资活动所得净现金                                         36,683     14,356
                                                              --------  --------
      现金和现金当量净增长(降低)                               14,402    (4,461)
      现金和现金当量 ―― 期初                                   15,992    16,557
                                                             --------  --------
      现金和现金当量 ―― 期末                                 $ 30,394  $ 12,096
                                                             ========  ========

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