IFRS 16 Leases was adopted with effect from January 1, 2019. IFRS 16 Leases primarily impacts the following key measures of Shell’s financial performance: Segment earnings; Cash flow from operating activities; Cash flow from operating activities excluding working capital movements; Free cash [...]
[...] Research and development 181 186 114 108 440 Cash flow from operating activities 15,311 14,617 6,467 9,132 7,728 (Increase)/decrease in working capital 483 (1,664) (2,192) 1,159 152 Cash flow from operating activities excluding working capital 14,828 16,281 8,659 7,973 7,576 Cash flow from [...]
CCS earnings $16.5 billion excl. identified items Cash flow from operating activities $42.2 billion at an average $64/bbl Brent price Cash capital expenditure $23.9 billion Free cash flow $26.4 billion Total dividends distributed $15.2 billion Share buybacks $14.1 billion completed in 2018-2019 [...]
[...] and invest in the business to sustain cash flow. Shell’s distributed dividend in 2019 was $15.2 billion. Our policy is to grow the dollar dividend through time, in line with our view of our underlying earnings and cash flow. When setting the dividend, the Board of Directors looks at a range of [...]
[...] deliver significant, long-life and resilient cash flows. The project has been designed to achieve the lowest carbon intensity of any LNG project operating today, aided by the partial use of hydropower. In 2019, our Prelude FLNG facility reached a significant milestone, shipping its first LNG cargo [...]
[...] We have been improving our operating cash flow through operational excellence, a relentless focus on controlling operating costs and unlocking value and resources through new deals with host governments. Since 2015 we have been high-grading and simplifying the portfolio through a series of [...]
Deep Water is a Core Upstream theme for Shell, focused on strong cash generation through a leading portfolio and development opportunities that will sustain cash flow into the coming decades. We believe our global deep-water portfolio is on track to deliver sustained production of at least 900 [...]
[...] uncertain but could impact our earnings, cash flows and financial condition, and we are monitoring the situation closely as the virus spreads. The statements in this “Outlook” section, including those related to our growth strategies and our expected or potential future cash flow from [...]
[...] case. This involves growing organic free cash flow and increasing returns, all built upon a strong financial framework and resilient portfolio; and to sustain a strong societal licence to operate and make a positive contribution to society through our activities. The execution of our strategy is [...]
[...] ($ million) 8,955 9,399 5,268 3,700 5,057 Cash flow from operating activities ($ million) 15,311 14,617 6,467 9,132 7,728 Liquids production (thousand b/d) 156 214 203 223 204 Natural gas production (million scf/d) 4,442 4,311 3,969 3,832 2,469 Total production (thousand boe/d) 922 957 887 884 631 [...]