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Why is MAU down २.९१%?
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MAU:EPA
Etablissements Maurel et Prom SA
€ ७.६८
-२.९१%
(-०.२३) 1D
अक्टोबर ६, १७:३५:०५ GMT+२  ·   EUR
All symbols
SymbolPriceChange% Change
Generating top insights for MAU...
Open
€ ७.८४
High
€ ७.९४
Low
€ ७.५३
Mkt. cap
१.५६ अरब
Avg. vol.
१.९३ लाख
Volume
२.९२ लाख
P/E ratio
३.५५
52-wk high
€ ११.४४
52-wk low
€ ४.४२
EPS
€ २.१६
Shares outstanding
२०.१३ करोड
No. of employees
८०९
Open
€ ७.८४
High
€ ७.९४
Low
€ ७.५३
Mkt. cap
१.५६ अरब
Avg. vol.
१.९३ लाख
Volume
२.९२ लाख
P/E ratio
३.५५
52-wk high
€ ११.४४
52-wk low
€ ४.४२
EPS
€ २.१६
Shares outstanding
२०.१३ करोड
No. of employees
८०९
News stories
From web sources and news partners
Ideal Investisseur
Ideal Investisseur
·
१ दिन पहिले
Maurel et Prom Share: +2.5% and among the strongest gains on the SBF 120
Profile
Maurel & Prom is an oil company specialising in the production of hydrocarbons. It is listed on Euronext Paris and has its registered office in Paris. The Group generates most of its business in Africa through the exploitation of onshore production assets and a significant stake in SEPLAT, one of Nigeria’s leading indigenous operators. Wikipedia
About Etablissements Maurel et Prom SA
CEOOlivier de Langavant
Employees८०९
Founded१८३१
Headquarters-
Sector-
Last report
२०२६ जुलाई २१
Fiscal period
Q2 2026
EPS / Est. (USD)
- / -
Revenue / Est. (USD)
१८.३१ करोड / -
Fiscal Q2 2026 earnings call
Waiting for the earnings call
At a glance
Insights from the latest news and reports
Previous reportsAll values in USD
Loading Previous Earnings...
Revenue
Net income
All values in USD
२०२५ सेप्टेम्बर
२०२५ डिसेम्बर
२०२६ मार्च
२०२६ जुन
Revenue
१४.४४ करोड
१४.४४ करोड
१८.३१ करोड
१८.३१ करोड
Cost of goods sold
-
-
-
-
Cost of revenue
-
-
-
-
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
-१२.२८ लाख
-१२.२८ लाख
-
-
Operating expense
१२.३१ करोड
१२.३१ करोड
१०.५३ करोड
१०.५३ करोड
Total operating expenses
१२.३१ करोड
१२.३१ करोड
१०.५३ करोड
१०.५३ करोड
Operating income
२.१४ करोड
२.१४ करोड
७.७८ करोड
७.७८ करोड
Other non operating income
-८.४४ लाख
-८.४४ लाख
-७.६४ लाख
-७.६४ लाख
EBT including unusual items
१९.६१ करोड
१९.६१ करोड
९.६६ करोड
९.६६ करोड
EBT excluding unusual items
६.५० करोड
६.५० करोड
९.३६ करोड
९.३६ करोड
Income tax expense
३.५५ करोड
३.५५ करोड
१२.८४ लाख
१२.८४ लाख
Effective tax rate
१८.१३%
१८.१३%
१.३३%
१.३३%
Other operating expenses
८.९६ करोड
८.९६ करोड
६.९६ करोड
६.९६ करोड
Net income
१५.३२ करोड
१५.३२ करोड
९.१७ करोड
९.१७ करोड
Net profit margin
१०६.०८%
१०६.०८%
५०.०७%
५०.०७%
Earnings per share
-
-
-
-
Interest and investment income
५.६५ लाख
५.६५ लाख
२५.२६ लाख
२५.२६ लाख
Interest expense
-४७.८८ लाख
-४७.८८ लाख
-५६.०० लाख
-५६.०० लाख
Net interest expenses
-४२.२२ लाख
-४२.२२ लाख
-३०.७४ लाख
-३०.७४ लाख
Depreciation and amortization charges
३.२८ करोड
३.२८ करोड
३.४० करोड
३.४० करोड
EBITDA
५.१५ करोड
५.१५ करोड
१०.७६ करोड
१०.७६ करोड
Gain or loss from assets sale
-६०.०० हजार
-६०.०० हजार
३०.५० हजार
३०.५० हजार
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