At a Glance (XLSX:) Download Five-year Summary 2020 2019 2018 2017 2016 Sales revenues 1 in EUR mn 16,550 23,461 22,930 20,222 19,260 Operating Result in EUR mn 1,050 3,582 3,524 1,732 (32) Profit before tax in EUR mn 875 3,453 3,298 1,486 (230) Taxes on income and profit in EUR mn 603 (1,306) (1,305) (634) 47 Net income for the year in EUR mn 1,478 2,147 1,993 853 (183) Net income attributable to stockholders of the parent in EUR mn 1,258 1,678 1,438 435 (403) Clean CCS Operating Result 2 in EUR mn 1,686 3,536 3,646 2,958 1,535 Clean CCS net income 2 in EUR mn 1,026 2,121 2,108 2,035 1,230 Clean CCS net income attributable to stockholders of the parent 2 in EUR mn 679 1,624 1,594 1,624 995 Balance sheet total in EUR mn 49,271 40,375 36,961 31,576 32,112 Equity in EUR mn 19,899 16,863 15,342 14,334 13,925 Net debt excluding leases in EUR mn 8,130 3,632 1,726 1,713 2,691 Net debt including leases in EUR mn 9,347 4,686 2,014 2,005 2,969 Average capital employed in EUR mn 21,555 19,923 16,850 15,550 17,943 Cash flow from operating activities in EUR mn 3,137 4,056 4,396 3,448 2,878 Capital expenditure in EUR mn 6,048 4,916 3,676 3,376 1,878 Organic capital expenditure 3 in EUR mn 1,884 2,251 1,893 1,636 1,868 Free cash flow before dividends in EUR mn (2,811) (583) 1,043 1,681 1,081 Free cash flow after dividends in EUR mn (3,690) (1,441) 263 1,013 615 Net Operating Profit After Tax (NOPAT) in EUR mn 1,637 2,230 2,097 987 (88) Clean CCS NOPAT 2 in EUR mn 1,185 2,204 2,196 2,169 1,325 Return On Average Capital Employed (ROACE) in % 8 11 12 6 0 Clean CCS ROACE 2 in % 5 11 13 14 7 Return On Equity (ROE) in % 9 13 14 6 (1) Equity ratio in % 40 42 42 45 43 Gearing ratio exluding leases in % 41 22 11 12 19 Leverage ratio in % 32 22 12 12 18 Earnings Per Share (EPS) in EUR 3.85 5.14 4.40 1.33 (1.24) Clean CCS EPS 2 in EUR 2.08 4.97 4.88 4.97 3.05 Cash flow per share 4 in EUR 9.60 12.42 13.46 10.56 8.82 Dividend Per Share (DPS) 5 in EUR 1.85 1.75 1.75 1.50 1.20 Payout ratio in % 48 34 40 113 n.m. Employees as of December 31 25,291 19,845 20,231 20,721 22,544 Production cost 6 in USD/boe 6.58 6.61 7.01 8.79 10.58 Production in kboe/d 463 487 427 348 311 Proved reserves in mn boe 1,337 1,332 1,270 1,146 1,030 Total refined product sales in mn t 18 21 20 24 31 Natural gas sales volumes in TWh 164 137 114 113 109 Lost-Time Injury Rate (LTIR) in mn hours worked 0.32 0.34 0.30 0.34 0.40 1 Sales revenues excluding petroleum excise tax 2 Adjusted for special items and CCS effects; further information can be found in Note 4 – Segment Reporting – of the Consolidated Financial Statements 3 Organic capital expenditure is defined as capital expenditure including capitalized Exploration and Appraisal expenditure excluding acquisitions and contingent considerations. 4 Cash flow from operating activities 5 2020: as proposed by the Executive Board and confirmed by the Supervisory Board, subject to confirmation by the Annual General Meeting 2021 6 In 2016, the reported production cost was USD 11.59/boe; effective January 1, 2017, production cost excludes administrative expenses and selling and distribution costs; the 2016 production cost figure of USD 10.58/boe presented in the table has been calculated based on the new definition for future comparability. Consolidated Report on the Payments Made to GovernmentsFields of Activity 102-45 gri-id41:102-45