Oracle Power PLC (ORCP)

Industry Thermal Coal

This stock can be held in an Investment ISA, SIPP and Investment Account
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0.016p

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0.017p

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Oracle Power PLC is a UK based company involved in the exploration and extraction of lignite coal resources in Block VI in the Thar desert in the Sindh province in Pakistan through a commercial open cast mine supplying projected mine-mouth power stations.
Prices updated at 30 May 2025, 16:26 BST
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Prices in GBX

Income statement

20162017201820192020202120222023
--------
--------
-919,190-1m-881,041-1m-1m-881,973-1m-848,058
--------
-913,258-1m-879,996-1m-1m-881,879-1m-789,795
-912,910-1m-878,702-1m-1m-880,031-1m-847,853
Sales, General and administrative919,1901m881,0411m1m881,9731m848,058
Interest expenses-21,5446024,220----
Provision for income taxes--------
Operating expenses919,1901m881,0411m1m881,9731m848,058
Income before taxes-913,464-1m-879,996-1m-1m-881,879-1m-789,795
Net income available to common shareholders-913,258-1m-879,996-1m-1m-881,879-1m-789,795
-0.001-0.0011-0.0008-0.0008-0.0005-0.0004-0.0004-0.0002
Net interest income5,726-19,4031,045-2,5233809414,59236,688
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)-0.001-0.0011-0.0008-0.0008-0.0005-0.0004-0.0004-0.0002
Free cash flow per share-0.0015-0.0011-0.0012-0.0007-0.0008-0.0006-0.0006-0.0003
Book value/share0.00660.00530.00460.00290.00270.00230.00220.0013
Debt equity ratio--------

Balance sheet

20162017201820192020202120222023
Current assets604,755198,724119,588555,0662m922,108195,974250,435
Current liabilities147,791280,618333,118173,8351m170,321203,034146,565
Total capital6m5m5m5m6m7m6m6m
Total debt----800,000---
Total equity6m5m5m5m6m7m6m6m
Total non current liabilities--------
Loans--------
Total assets6m5m5m6m7m7m6m6m
Total liabilities--------
Cash and cash equivalents505,904126,17848,899413,8582m872,000150,905203,526
Common stock912m962m1,142m1,755m2,147m2,650m3,078m4,735m

Cash flow

20162017201820192020202120222023
Cash at beginning of period2m505,904126,17848,899413,8582m872,000150,905
Cash dividends paid--------
-1m-1m-988,879-1m-1m-1m-1m-864,958
Investments (gains) losses-329,981-295,247-152,468-69,836-221,903-284,822-1m-333,247
505,904126,17848,899413,8582m872,000150,905203,526
Net income--------
-1m-852,389-834,764-1m-807,883-1m-707,714-765,398
-335,707-297,388-154,115-72,473-222,283-284,916-378,963-99,560
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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