ABU DHABI NATIONAL OIL COMPANY FOR DISTRIBUTION PJSC Interim condensed consolidated statement of changes in equity For the nine-month period ended 30 September 2024 Foreign Equity currency attributable to Non- Statutory translation Retained equity holders controlling Share capital reserve reserve earnings of the parent interest Total Equity AED’000 AED’000 AED’000 AED’000 AED’000 AED’000 AED’000 Balance as at 1 January 2023 (audited) 1,000,000 500,000 - 1,944,890 3,444,890 - 3,444,890 Profit for the period - - - 1,924,273 1,924,273 30,035 1,954,308 Transfer to statutory reserve - 3,837 - (3,837) - - - Other comprehensive loss for the period - - (1,426) - (1,426) (1,426) (2,852) Dividends declared (note 23) - - - (2,571,250) (2,571,250) - (2,571,250) Acquisition of a subsidiary (note 19) - - - - - 95,921 95,921 Dividends declared by subsidiary (note 23) - - - - - (32,394) (32,394) Balance as at 30 September 2023 (unaudited) 1,000,000 503,837 (1,426) 1,294,076 2,796,487 92,136 2,888,623 Balance as at 1 January 2024 (audited) 1,000,000 503,921 (2,995) 1,971,140 3,472,066 323,767 3,795,833 Adjustments of IAS 21 amendments (note 2) - - - (33,982) (33,982) (33,982) (67,964) Adjusted Balance as at 1 January 2024 1,000,000 503,921 (2,995) 1,937,158 3,438,084 289,785 3,727,869 Profit for the period - - - 1,839,847 1,839,847 40,006 1,879,853 Transfer to statutory reserve - 2,481 - (2,481) - - - Other comprehensive loss for the period - - (37,741) - (37,741) (37,741) (75,482) Dividends declared (note 23) - - - (2,571,250) (2,571,250) - (2,571,250) Dividends declared by subsidiary (note 23) - - - - - (20,529) (20,529) Balance as at 30 September 2024 (unaudited) 1,000,000 506,402 (40,736) 1,203,274 2,668,940 271,521 2,940,461 The accompanying notes form an integral part of these interim condensed consolidated financial statements. 8

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