Financial highlights

Adjusted operating profit

+

€1.2

bln

in mid-downstream

Record cash flow

+

37%

vs 2013

 

Cash from disposals

€3.68

bln

Distribution yield

8.3%

Proved reserves

6.6

bln boe

at year end

Exploration successes

0.9

bln boe

at year end

  • Key data
  • Summary financial data
  • Key financial data(a)

     

     

     

     

    (€ million)

    2012(b)

    2013

    2014

    (a)

    Following the divestment of Regulated Businesses in Italy, results of Snam have been accounted as “discontinued operations”.

    (b)

    2012 figures have been restated following the adoption of the International Accounting Standard (IAS) 19 “Employees benefits”, effective since January 1, 2013.

    *

    Attributable to Eni's shareholders.

    Net sales from operations

    128,481

    114,697

    109,847

    Group operating profit

    16,099

    8,888

    7,917

    Group adjusted operating profit

    20,825

    12,650

    11,574

    Group net profit*

    7,790

    5,160

    1,291

    Group adjusted net profit*

    7,325

    4,430

    3,707

    Net cash provided by operating profit

    12,567

    11,026

    15,110

    Capital expenditure

    13,561

    12,800

    12,240

    Shareholders' equity including non-controlling interests

    62,417

    61,049

    62,209

    Net borrowings

    15,069

    14,963

    13,685

    Leverage

    0.24

    0.25

    0.22

    Net capital employed

    77,486

    76,012

    75,894

  • Summary financial data

     

     

     

     

     

     

     

    2012

    2013

    2014

    (a)

    Fully diluted. Ratio of net profit/cash flow and average number of shares outstanding in the period. Dollar amounts are converted on the basis of the average EUR/USD exchange rate quoted by ECB for the period presented.

    (b)

    One American Depositary Receipt (ADR) is equal to two Eni ordinary shares.

    (c)

    Ratio of dividend for the period and the average price of Eni shares as recorded in December.

    Net profit

     

     

     

     

    - per share (a)

    (€)

    1.16

    1.42

    0.36

    - per ADR (a) (b)

    ($)

    2.98

    3.77

    0.96

    Adjusted net profit

     

     

     

     

    - per share (a)

    (€)

    1.97

    1.22

    1.03

    - per ADR (a) (b)

    ($)

    5.06

    3.24

    2.74

    Cash flow

     

     

     

     

    - per share (a)

    (€)

    3.41

    3.52

    4.18

    - per ADR (a) (b)

    ($)

    8.77

    9.04

    11.12

    Adjusted return on average capital employed (Roace)

    (%)

    10.1

    5.9

    5.6

    Leverage

     

    0.24

    0.25

    0.22

    Coverage

     

    11.3

    8.8

    7.4

    Current ratio

     

    1.4

    1.5

    1.5

    Debt coverage

     

    83.4

    73.7

    110.4

    Dividends pertaining to the year

    (€ per share)

    1.08

    1.10

    1.12

    Pay-out

    (%)

    50

    77

    311

    Dividend yield (c)

    (%)

    5.9

    6.5

    7.6