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AB Klaipėdos nafta preliminary revenue for March 2021

Klaipedos Nafta
·2-min read

The preliminary sales revenue of the Company’s oil terminals for March 2021 comprises EUR 1.7 million and is lower by EUR 1.7 million or by 50 % compared to March of 2020. The preliminary sales revenue of the Company’s oil terminals for the three months of 2021 comprises EUR 5.4 million and is lower by 28 % compared to the same period of 2020.

The preliminary sales revenue of the Company’s Klaipėda LNG terminal for March 2021 comprises EUR 3.0 million (during the same month of 2020 – EUR 3.6 million). Klaipėda LNG terminal revenue from regulated activities consists of the regasification tariff fixed part (for booked annual capacities), variable part for amount of re-gasified LNG and reloading revenue. The level of Klaipėda LNG terminal revenue (for booked annual capacities) does not depend on regasification volume. Revenue is confirmed by the National Energy Regulatory Council (NERC) based on the approved methodology of State regulated prices in the natural gas sector and is calculated for the whole upcoming year. The preliminary sales revenue of Klaipėda LNG terminal for the three months of 2021 decreased by 21.9 % compared to the same period of 2020. The main reasons for the lower revenue are both due to lower regasification volumes during first three months of 2021, compared to the same period last year, and because of proportionate reduction of security supplement in 2021, based onthe surplus of LNG return from the period 2014-2019, which was established for the regulated activities of the Company, and is equal to EUR 1.9 million.

The preliminary sales revenue of the Company’s commercial LNG activity for March 2021 comprises EUR 0.2 million and is higher by EUR 0.1 million compared to February of 2020. The preliminary sales revenue of the Company’s commercial LNG activity for the three months of 2021 comprises EUR 0.7 million.

Total preliminary sales revenue of the Company for January-March 2021 amounts to EUR 15 million and is lower by 23.9 % compared to the same period of 2020 – EUR 19.7 million.

Preliminary revenue of the Company, EUR million:

March

January - March

2021

2020

Change

2021

2020

Change

Oil terminals activity

1.7

3.4

-50.0%

5.4

7.5

-28.0%

LNG terminal activity

3.0

3.6

-16.7%

8.9

11.4

-21.9%

Commercial LNG activity

0.2

0.1

100.0%

0.7

0.8

-12.5%

Total

4.9

7.1

-31.0%

15.0

19.7

-23.9%


Jonas Lenkšas, Chief Financial Officer, +370 694 80594.