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SEFTON RESOURCES INC - UNDERRATED OIL PRODUCER (SER)     

ptholden - 04 Aug 2006 19:53


???

Sefton Resources is an independent AIM quoted Oil and Gas company operating in the US. The companys principal current assets are two producing oilfields in California (Tapia Canyon Field and Eureka Canyon Field); it is also in the process of buying up prospective coal bed methane acreage (CBM) in Kansas.

Update from July 2007 AGM

Finance

I revealed in my annual statement that discussions were well advanced with
Banking institutions. The final phase of the agreement with a suitable bank
without complex and restrictive terms is now very near. This is weeks away
rather than months.

Oil

Oil production at Tapia has averaged 4,100 BO during the last five months. Which
is in line with last years levels. Once this finance is in place we will be able
to move ahead with drilling.

Drilling

We have stayed close to drilling contractors and we are ready to move forward
quickly when this finance is available.

Steam generation

The equipment is now in place at Tapia. Preparation time is needed to connect
the equipment and carry out the necessary trials required to get the main work
started. We anticipate this steaming will start in the next couple of months. If
successful a significant amount of oil resources will move into the Proven
Producing Reserves category.

Joint Ventures

Discussions continue with a number of interested parties to develop our Anderson
counties gas assets.

New finance team

A new CFO has been appointed with good knowledge and experience of the oil
industry. A new assistant to undertake all the daily needs has also been
appointed.


SWOT ANALYSIS

STRENGTHS:

Sefton has two oil fields, both producing. One is already profitable, and the other is breaking even. This should generate good cashflow for the company over the medium term.
Sefton owns 100% of both its major oil interests and is now demerging its non-controlled oil interests in order to concentrate on those where it has full control (Sefton has recently disposed of its Canadian assets for CDN450k cash).
Sefton is establishing a track record of using modern extraction technologies to improve the efficiency of its fields.

WEAKNESSES:

Sefton has suffered from a number of one-off factors. While these were out of the companys control the problems it has faced since 2002 have held back development and taken up management time. Investor disenchantment may account for the current low rating.

OPPORTUNITIES:

Sefton has acquired acreage for CBM (coal bed methane) in Kansas. CBM gas production is a thriving market and Sefton believes it has acquired the acreage at advantageous prices. While this is a longer term prospect it is an exciting one and could eventually eclipse the oil interests.
There are a number of other fields in the Ventura Basin and more generally in California as a whole that Sefton may look to target now its cash flows are stronger.
Eureka is a semi-exploration play which may contain further upside. This cannot yet be evaluated.
At this valuation the company may prove an attractive target for a larger player.

THREATS

Owing to its geographical location the company continues to be exposed to the threat of bush fires, canyon floods and geological interruption (earthquake risk). Sefton is taking steps to mitigate this risk by investing in Kansas and although Forest Basin area is susceptible to tornados - gas facilities have a minimal surface footprint.

LINKS:

Sefton Resources Web Site

Quarterly Update (Mar 08)

Operations Update Dated 14 January 2008

Hardman Report

Final Results - Year Ended 31 Dec 2006

2007 AGM & Update

In The News - Oil Barrel Dated 31 January 2007

Daily California Crude Oil Prices (MIDWAY SUNSET 13)

Chart.aspx?Provider=EODIntra&Code=SER&Si

ptholden - 19 Apr 2007 17:26 - 461 of 2350

Topped up today; two of those Buy trades are mine and hope to see the benefits next week or fairly soon. If not might turn out to be a much longer term hold than originally envisaged when I started this thread :)

pth

driver - 19 Apr 2007 18:37 - 462 of 2350

I bought three times in the last couple of months but with fingers crossed, its looking good now and holding up well with the market down.

john50 - 19 Apr 2007 20:08 - 463 of 2350

I topped up with the 10k at 7.45p

explosive - 19 Apr 2007 21:11 - 464 of 2350

Been in this share for alot longer than this threads been around, very nicely in the blue but optimistic with alot of outcomes posted here.

rhino213 - 20 Apr 2007 07:50 - 465 of 2350

I just hope no news comes out today. SEFTON!!!! If your reading this hold on to whatever you want to tell us until monday morning please. That way the weekend won't get in the way of us making large amounts of spondolies!!!

I spotted the massive 2p spread first thing this morning. MM's are begging for shares right now.....6.5p bid vs. 8.5p offer!!!

capetown - 20 Apr 2007 08:11 - 466 of 2350

rhino,if that were the case would they just not put the bid up to attract sellers?

ptholden - 20 Apr 2007 08:20 - 467 of 2350

Was the 8.5p before 0800? If so was merely that not all the MMs had 'entered' the market.

rhino213 - 20 Apr 2007 08:21 - 468 of 2350

dunno. guess so. I'm a bit excited. too many coffee's this morning.

Greyhound - 20 Apr 2007 08:21 - 469 of 2350

or down to prise the shares away from them. The last update was 25/1 surely soon we're going to hear about latest progress. We were advised that several rigs are available once the company has its financing. How sure can we be that once funding is in place that we can have immediate access to these rigs? I can't imagine they are sitting there idle with such global shortage.

RAS - 20 Apr 2007 10:45 - 470 of 2350

capetown,

A wide spread will almost guarantee more selling than buying. Think about it -

Potential buyers are put off because the bid is so much lower than the offer.

But for those existing holders who might want to sell for some reason or other, the distance of the offer price to the bid is irrelavant to their sale.

RAS - 20 Apr 2007 10:47 - 471 of 2350

I think if they put the bid up to say 7.5p or 7.75p, so it was 7.5/8.0, it would almost certainly attract more buyers.

capetown - 20 Apr 2007 10:52 - 472 of 2350

Ras i take your point,but i bet it would also attract many sellers too,has has been the case.

RAS - 20 Apr 2007 11:07 - 473 of 2350

In my experience, especially with this share, people tend to buy when they perceive the price is going up, and sell when they perceive it to be going down or stagnating. Of course the best time to buy is when it's wallowing at the lows when everyone is slashing their wrists (metaphorically speaking).

capetown - 20 Apr 2007 13:45 - 474 of 2350

Lots of sellers again today,also spotted the two x 400k sells yeasterday,so i dont buy the assumption that the mms are short of or begging for stock.

RAS - 20 Apr 2007 14:06 - 475 of 2350

capetown,

The "two x 400k sells" yesterday was in fact a rollover, not sells.

RAS - 20 Apr 2007 14:07 - 476 of 2350

You don't need to buy any assumption capetown, just go to your broker and find out how many you can sell and at what price, compared to how many you can buy.

You will find that the MM's will take as many as you want.

capetown - 20 Apr 2007 14:38 - 477 of 2350

Well ras thats good to hear,just not counting my chicks before they hatch after the last dramatic rise before the fall,lets hope this time when the anticipated good news comes,1,that its good news,and 2 sp increase will be sustained.

RAS - 20 Apr 2007 14:46 - 478 of 2350

I agree. A price that goes up, and then stays up, is something that's always been lacking here in the past!

Greyhound - 20 Apr 2007 14:53 - 479 of 2350

And on that note, are we about to head higher again?

capetown - 20 Apr 2007 14:56 - 480 of 2350

Lets hope so.
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