Galp Energia SGPS SA (GALP)

Industry Oil & Gas Integrated

This stock can be held in an Investment ISA and an Investment Account
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€13.95

Buy

€14.15

arrow-down€-0.05 (-0.36%)

Galp Energia SGPS SA is an oil and natural gas integrated operator. It is in exploration and production of oil and natural gas, as well as refining and marketing oil products and natural gas and sales and power generation.
Prices updated at 16 May 2025, 16:35 BST
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Prices in EUR

Income statement

20172018201920202021202220232024
15,202m17,152m16,560m11,389m16,111m26,839m20,768m21,311m
1,444m1,919m1,338m136m1,835m2,650m2,977m2,725m
1,130m1,600m1,221m-275m1,664m2,379m2,617m2,550m
7.439.337.37-2.4110.338.8612.6011.97
597m741m389m-551m4m1,475m1,242m1,040m
1,279m1,729m1,416m1,193m1,919m4,746m3,753m3,498m
Sales, General and administrative--------
Interest expenses34m41m137m152m115m120m181m212m
Provision for income taxes560m736m742m242m652m1,434m997m1,050m
Operating expenses314m319m117m411m171m271m360m175m
Income before taxes1,245m1,688m1,279m-248m843m3,246m2,585m2,340m
Net income available to common shareholders597m741m389m-551m4m1,475m1,242m1,040m
0.7596760.9136640.482497-0.6775490.0049521.8581251.6014781.36
Net interest income-13m-12m-145m-139m-107m-85m-89m-111m
Advertising and promotion--------
Net investment income, net-18m-1m-86m37m-8m29m-39m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.7596760.9136640.482497-0.6775490.0049521.8581251.6014781.36
Free cash flow per share0.84320.46450.0630.32620.59550.72292.70361.3069
Book value/share5.57415.46195.48924.19053.53695.2725.83225.8353
Debt equity ratio0.5828730.5855680.8278281.3063291.3138931.029081.0362890.918746

Balance sheet

20172018201920202021202220232024
Current assets4,245m4,726m4,603m4,335m6,208m7,041m6,716m7,511m
Current liabilities2,430m2,634m2,879m2,248m4,539m4,314m4,376m4,365m
Total capital7,151m7,273m7,037m6,365m6,047m7,348m7,435m7,815m
Total debt3,083m3,245m4,119m4,833m5,479m5,264m5,410m4,908m
Total equity4,619m4,587m4,420m3,160m3,052m4,161m4,409m4,689m
Total non current liabilities--------
Loans2,532m2,686m2,617m3,205m2,995m3,187m3,026m3,126m
Total assets12,358m12,687m13,770m12,492m14,912m16,096m16,606m16,817m
Total liabilities--------
Cash and cash equivalents1,197m1,508m1,460m1,678m1,942m2,432m2,200m2,285m
Common stock809m808m808m808m808m794m753m750m

Cash flow

20172018201920202021202220232024
Cash at beginning of period923m1,096m1,504m1,431m1,675m1,812m2,421m2,071m
Cash dividends paid-491m-512m-623m-398m-498m-420m-422m-419m
609m366m779m240m273m1,993m1,572m1,150m
Investments (gains) losses-747m-724m-454m-674m-460m-1,266m-1,017m-1,049m
1,096m1,504m1,431m1,675m1,812m2,421m2,071m2,279m
Net income--------
----1,052m3,071m2,628m2,527m
-791m-1,110m-1,111m-649m-779m-1,078m-1,056m-1,377m
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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