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MarketScreener Homepage  >  Equities  >  Euronext Paris  >  Total SE    FP   FR0000120271

TOTAL SE

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Total : Demonstrates Resilience and Maintains -10-

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07/30/2020 | 08:31am EDT
Other operations 
 with 
  non-controlling 
 interests         -              -       (63)      -            -             -        (63)           (7)          (70) 
Other items        -              -       (3)       -            -             -        (3)            13           10 
As of June 30, 
 2020              2,615,060,337  8,159   107,934   (13,265)     (28,706,598)  (1,623)  101,205        2,334        103,539 
(a) Treasury shares related to the restricted stock grants. 
 

INFORMATION BY BUSINESS SEGMENT

TOTAL

 

(unaudited)

 
 
                                Integrated 
                   Exploration  Gas,         Refining   Marketing 
2(nd) quarter       &           Renewables   &           & 
2020                Production  & Power      Chemicals   Services  Corporate  Intercompany  Total 
(M$) 
Non-Group sales    992          3,313        9,433      11,986     6          -             25,730 
Intersegment 
 sales             3,097        301          2,956      107        31         (6,492)       - 
Excise taxes       -            -            (469)      (3,699)    -          -             (4,168) 
Revenues from 
 sales             4,089        3,614        11,920     8,394      37         (6,492)       21,562 
Operating 
 expenses          (2,405)      (3,406)      (10,895)   (7,931)    (315)      6,492         (18,460) 
Depreciation, 
 depletion and 
 impairment of 
 tangible assets 
 and mineral 
 interests         (9,667)      (1,282)      (393)      (229)      (22)       -             (11,593) 
Operating income   (7,983)      (1,074)      632        234        (300)      -             (8,491) 
Net income (loss) 
 from equity 
 affiliates and 
 other items       17           21           (35)       22         40         -             65 
Tax on net 
 operating 
 income            398          322          (132)      (127)      (26)       -             435 
Net operating 
 income            (7,568)      (731)        465        129        (286)      -             (7,991) 
Net cost of net 
 debt                                                                                       (431) 
Non-controlling 
 interests                                                                                  53 
Net income - 
 group share                                                                                (8,369) 
 
                                Integrated 
2(nd) quarter      Exploration  Gas,         Refining   Marketing 
2020                &           Renewables   &           & 
(adjustments)(a)    Production  & Power      Chemicals   Services  Corporate  Intercompany  Total 
(M$) 
Non-Group sales    -            (18)         -          -          -          -             (18) 
Intersegment 
sales              -            -            -          -          -          -             - 
Excise taxes       -            -            -          -          -          -             - 
Revenues from 
 sales             -            (18)         -          -          -          -             (18) 
Operating 
 expenses          (27)         (199)        (48)       5          (36)       -             (305) 
Depreciation, 
 depletion and 
 impairment of 
 tangible assets 
 and mineral 
 interests         (7,338)      (953)        -          -          -          -             (8,291) 
Operating income 
 (b)               (7,365)      (1,170)      (48)       5          (36)       -             (8,614) 
Net income (loss) 
 from equity 
 affiliates and 
 other items       (57)         (217)        (63)       (5)        -          -             (342) 
Tax on net 
 operating 
 income            63           330          1          -          12         -             406 
Net operating 
 income (b)        (7,359)      (1,057)      (110)      -          (24)       -             (8,550) 
Net cost of net 
 debt                                                                                       33 
Non-controlling 
 interests                                                                                  22 
Net income - 
 group share                                                                                (8,495) 
 
(a) Adjustments include special items, inventory valuation effect and the effect of changes in fair 
value. 
(b) Of which 
inventory 
valuation effect 
        - On 
 operating 
 income            -            -            (26)       (16)       - 
        - On net 
 operating 
 income            -            -            (86)       (9)        - 
 
                                Integrated 
                   Exploration  Gas,         Refining   Marketing 
2(nd) quarter       &           Renewables   &           & 
2020 (adjusted)     Production  & Power      Chemicals   Services  Corporate  Intercompany  Total 
(M$) 
Non-Group sales    992          3,331        9,433      11,986     6          -             25,748 
Intersegment 
 sales             3,097        301          2,956      107        31         (6,492)       - 
Excise taxes       -            -            (469)      (3,699)    -          -             (4,168) 
Revenues from 
 sales             4,089        3,632        11,920     8,394      37         (6,492)       21,580 
Operating 
 expenses          (2,378)      (3,207)      (10,847)   (7,936)    (279)      6,492         (18,155) 
Depreciation, 
 depletion and 
 impairment of 
 tangible assets 
 and mineral 
 interests         (2,329)      (329)        (393)      (229)      (22)       -             (3,302) 
Adjusted 
 operating 
 income            (618)        96           680        229        (264)      -             123 
Net income (loss) 
 from equity 
 affiliates and 
 other items       74           238          28         27         40         -             407 
Tax on net 
 operating 
 income            335          (8)          (133)      (127)      (38)       -             29 
Adjusted net 
 operating 
 income            (209)        326          575        129        (262)      -             559 
Net cost of net 
 debt                                                                                       (464) 
Non-controlling 
 interests                                                                                  31 
Adjusted net 
 income - group 
 share                                                                                      126 
 
                                Integrated 
                   Exploration  Gas,         Refining   Marketing 
2(nd) quarter       &           Renewables   &           & 
2020                Production  & Power      Chemicals   Services  Corporate  Intercompany  Total 
(M$) 
Total 
 expenditures      1,606        1,170        307        174        21                       3,278 
Total divestments  204          89           22         26         9                        350 
Cash flow from 
 operating 
 activities        910          1,389        1,080      819        (719)                    3,479 
 

NFORMATION BY BUSINESS SEGMENT

TOTAL

 

(unaudited)

 
 
                                Integrated 
                   Exploration  Gas,         Refining   Marketing 
1(st) quarter       &           Renewables   &           & 
2020                Production  & Power      Chemicals   Services  Corporate  Intercompany  Total 
(M$) 
Non-Group sales    1,582        5,090        18,523     18,675     -          -             43,870 
Intersegment 
 sales             5,564        594          6,095      89         28         (12,370)      - 
Excise taxes       -            -            (650)      (4,643)    -          -             (5,293) 
Revenues from 
 sales             7,146        5,684        23,968     14,121     28         (12,370)      38,577 
Operating 
 expenses          (3,643)      (4,992)      (24,841)   (13,799)   (247)      12,370        (35,152) 
Depreciation, 
 depletion and 
 impairment of 
 tangible assets 
 and mineral 
 interests         (2,644)      (334)        (395)      (244)      (18)       -             (3,635) 
Operating income   859          358          (1,268)    78         (237)      -             (210) 
Net income (loss) 
 from equity 
 affiliates and 
 other items       423          399          (57)       10         124        -             899 
Tax on net 
 operating 
 income            (454)        8            335        (32)       28         -             (115) 
Net operating 
 income            828          765          (990)      56         (85)       -             574 
Net cost of net 
 debt                                                                                       (572) 
Non-controlling 
 interests                                                                                  32 
Net income - 
 group share                                                                                34 
 
                                Integrated 
1(st) quarter      Exploration  Gas,         Refining   Marketing 
2020                &           Renewables   &           & 
(adjustments)(a)    Production  & Power      Chemicals   Services  Corporate  Intercompany  Total 
(M$) 
Non-Group sales    -            2            -          -          -          -             2 
Intersegment 
sales              -            -            -          -          -          -             - 
Excise taxes       -            -            -          -          -          -             - 
Revenues from 
 sales             -            2            -          -          -          -             2 
Operating 
 expenses          (10)         (119)        (1,589)    (346)      (55)       -             (2,119) 
Depreciation, 
depletion and 
impairment of 
tangible assets 
and mineral 
interests          -            -            -          -          -          -             - 
Operating income 
 (b)               (10)         (117)        (1,589)    (346)      (55)       -             (2,117) 
Net income (loss) 
 from equity 
 affiliates and 
 other items       128          (75)         (208)      -          -          -             (155) 
Tax on net 
 operating 

(MORE TO FOLLOW) Dow Jones Newswires

07-30-20 0830ET

Stocks mentioned in the article
ChangeLast1st jan.
TOTAL SE 0.67% 34.42 Real-time Quote.-30.51%
WTI 2.32% 42.555 Delayed Quote.-31.52%
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Financials (USD)
Sales 2020 126 B - -
Net income 2020 -1 591 M - -
Net Debt 2020 38 954 M - -
P/E ratio 2020 -126x
Yield 2020 7,78%
Capitalization 105 B 106 B -
EV / Sales 2020 1,14x
EV / Sales 2021 0,98x
Nbr of Employees 107 776
Free-Float 92,4%
Chart TOTAL SE
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Technical analysis trends TOTAL SE
Short TermMid-TermLong Term
TrendsNeutralNeutralNeutral
Income Statement Evolution
Consensus
Sell
Buy
Mean consensus BUY
Number of Analysts 24
Average target price 49,54 $
Last Close Price 40,13 $
Spread / Highest target 68,6%
Spread / Average Target 23,5%
Spread / Lowest Target -22,9%
EPS Revisions
Managers
NameTitle
Patrick Pouyanné Chairman & Chief Executive Officer
Jean-Pierre Gerard Claude Sbraire Chief Financial Officer
Marie-Noelle Semeria Group Chief Technology Officer & Senior VP
Patrick Artus Independent Director
Marie-Christine Coisne-Roquette Lead Independent Director
Sector and Competitors
1st jan.Capitalization (M$)
TOTAL SE-30.51%105 786
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PETROCHINA COMPANY LIMITED-30.18%111 129
GAZPROM-25.25%62 082
PETRÓLEO BRASILEIRO S.A. - PETROBRAS-23.53%56 390