Nostrum Oil & Gas PLC(NOG)
GBX --+0.00%
Reward47Moderate
Risk52Moderate
📊75%Data
Thin -50% profit margin · Revenue down 41% YoY
NOG
+0.0 · +0.00%
GBX · LSE
Nostrum Oil & Gas PLC | Energy
Value Trap
Market Cap:5.59M
ℹ️
Reward Rating
47
Moderate
Bottom 25% (model universe)
75% data coverage
ℹ️
Risk Rating
52
Moderate
Risk Assessment
ℹ️

Educational tool only – Scores are based on historical data and financial metrics for informational purposes. This is not financial advice or a recommendation to buy or sell any security. Always conduct your own research or consult a qualified financial adviser.

ℹ️ Educational tool only · More
Limited data coverage
We don't have enough public data on NOG to score it reliably yet — Reward, Risk, Forecasts and Dividends tabs aren't available for this stock. The price chart and basic profile are still shown.
OTC / ADR stock — scores and fundamentals use data tagged in USD by our provider. The issuer may report in a different home currency (e.g. JPY), so treat figures as directional rather than precise.
Not available for limited-coverage stocks
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Market Performance

Stock returned +10.0% over the past year, broadly in line with market conditions.

Analyst Target

Analyst consensus price target: 4p.

What is Nostrum Oil & Gas PLC?

Nostrum Oil & Gas PLC, together with its subsidiaries, operates as a mixed-asset energy company in the Pre-Caspian Basin.

NOG · Verdict

Moderate reward · elevated risk

NOG stands out on volatility and valuation, but watch the cash flow signal.

Based on 88% data coverage

NOG · Verdict

What’s working & what to watch

Strengths 2

  • Volatility80/100

    Top decile vs peers

  • Valuation75/100

    P/E 0.2×

Watchouts 2

  • Cash flow31/100

    0% free-cash-flow margin

  • Growth33/100

    Rev -11.1% CAGR · earnings +0.6%

Model-based scoring. For information only — not financial advice.

What is Nostrum Oil & Gas PLC?

Nostrum Oil & Gas PLC, together with its subsidiaries, operates as a mixed-asset energy company in the Pre-Caspian Basin. Its product portfolio comprises crude oil, stabilized condensate, LPG, and dry gas, as well as third-party hydrocarbons. The company is listed on the LSE in UK, operating in the Energy sector, with a market capitalisation of 5.59M.

Financial Highlights

Investment Breakdown

📈 Growth
Revenue growth is subdued, limiting near-term earnings expansion.
💰 Profitability
Adequate profitability with some margin variability in recent periods.
⚠️ Risk
Performance tied to macro conditions — sensitive to interest rate cycles.
💸 Valuation
Valuation is less clear with a negative earnings base.

OpenBook Logo Analysis

Reward: Moderate (47)

The scoring profile indicates limited reward potential at this time, with valuation and profitability offering the most support. Risk indicators are elevated — volatility and macro sensitivity warrant consideration.

For informational purposes only. Not financial advice.

Company Information
SectorEnergy
Market Cap5.59M
P/E RatioN/A
Dividend YieldN/A
52 Week High5.4
52 Week Low2.5
Last AnnualDecember
IPO DateN/A
IncorporatedUK
Shares Outstanding165M
No. of Employees605
IndustryOil & Gas Integrated
ExchangeLSE
Beta0.505
CurrencyGBX · Reports in USD