1、2022INTERIM REPORTFOR THE SIX-MONTH PERIOD ENDED 31 MARCH 2022 TRAFIGURA GROUP PTE.LTD.Financial and business highlights1Trafigura Group Pte.Ltd.and the companies which it directly or indirectly owns investments in are separate and distinct entities.In this publication,the collective expressions Tra
2、figura,Trafigura Group,the Company and the Group may be used for convenience where reference is made in general to those companies.Likewise,the words we,us,our and ourselves are used in some places to refer to the companies of the Trafigura Group in general.These expressions are also used where no u
3、seful purpose is served by identifying any particular company or companies.1.For the six-month period ended 31 March 2022.2.For the six-month period ended 31 March 2021.3.For the six-month period ended 31 March 2020.4.As at 30 September 2021.5.As at 30 September 2020.6.The Energy segment comprises o
4、il,petroleum products,natural gas,Puma Energy,power,carbon and renewables.Group revenue$170.6bn$98.4bn in 20212$83.0bn in 20203Underlying EBITDA$4.7bn$3.7bn in 20212$2.4bn in 20203Underlying EBITDA margin2.8%3.8%in 202122.9%in 20203Net profit$2.7bn$2.1bn in 20212$0.5bn in 20203Energy segment revenue
5、 as a percentage of Group revenue666%59%in 2021263%in 20203Total non-current assets$16.3bn$15.0bn in 20214$11.1bn in 20205Metals and Minerals revenue as a percentage of Group revenue34%41%in 2021237%in 20203Total assets$105.8bn$90.1bn in 20214$57.0bn in 20205Total Group equity$12.7bn$10.6bn in 20214
6、$7.8bn in 20205Report of the Board of Directors02 Statement from the Executive Chairman and Chief Executive Officer04 Financial review08 Marketplace reviewFinancial statements13 Contents14 Interim consolidated statement of income14 Supplementary statement of income information15 Interim consolidated