Smartphoto Group N.V. Logo

Smartphoto Group N.V.

ISIN: BE0974323553 | Ticker: SMAR | LEI: 529900EKGNL8HWTMTO81
Country: Belgium

About Smartphoto Group N.V.

Company Description

Our mission at smartphoto still is to help socially active young mums and families create and give affordable, high-quality personalised products using smart and simple apps and websites.

We want everyone to enjoy their family photos again and again. We only deem our mission successful when you can transform your pictures into unique personal products without too much effort. Inspiring is very important to us, because we know how busy everyone is and how
little time there is left to create personalised products.

Therefore our motto is ‘smart.simple.smile’, and every day we look for better solutions so you can enjoy your pictures or your favourite products which you personalised with a nice text or personal quote, in different, fun ways.

Year founded

1964

Served area

Worldwide

Headquarters

Kwatrechtsteenweg 160, 9230 Wetteren, Oost-Vlaanderen – Belgium

Financial statements

Download as Excel
Line item in (eur) 01.01.2020 01.01.2021 01.01.2022 01.01.2023
Assets N/A 71,095,000.00 82,362,000.00 82,886,000.00
Noncurrent Assets N/A 48,032,000.00 49,069,000.00 48,643,000.00
Property Plant And Equipment N/A 16,552,000.00 17,031,000.00 16,789,000.00
Goodwill N/A 16,151,000.00 17,220,000.00 17,220,000.00
Intangible Assets Other Than Goodwill N/A 2,803,000.00 3,136,000.00 3,194,000.00
Noncurrent Receivables N/A 74,000.00 386,000.00 96,000.00
Deferred Tax Assets N/A 11,057,000.00 10,341,000.00 7,995,000.00
Current Assets N/A 23,063,000.00 33,293,000.00 34,243,000.00
Inventories N/A 2,481,000.00 4,030,000.00 3,956,000.00
Trade And Other Current Receivables N/A 2,613,000.00 9,248,000.00 6,052,000.00
Current Tax Assets Current N/A 20,000.00 18,000.00 88,000.00
Other Current Financial Assets N/A 3,000.00 3,000.00 3,000.00
Cash and cash equivalents 14,425,000.00 17,946,000.00 19,994,000.00 24,143,000.00
Equity And Liabilities N/A 71,095,000.00 82,362,000.00 82,886,000.00
Equity N/A 45,477,000.00 48,939,000.00 48,627,000.00
Issued Capital N/A 41,381,000.00 41,381,000.00 41,381,000.00
Retained Earnings N/A -1,765,000.00 1,615,000.00 4,684,000.00
Treasury Shares N/A 3,360,000.00 3,379,000.00 6,663,000.00
Equity Attributable To Owners Of Parent N/A 45,477,000.00 48,939,000.00 48,627,000.00
Noncurrent Liabilities N/A 6,818,000.00 7,550,000.00 7,473,000.00
Other Longterm Provisions N/A N/A 1,133,000.00 118,000.00
Noncurrent Payables N/A N/A 750,000.00 N/A
Deferred Tax Liabilities N/A 2,199,000.00 2,205,000.00 2,183,000.00
Noncurrent Recognised Liabilities Defined Benefit Plan N/A 1,015,000.00 584,000.00 594,000.00
Longterm Borrowings N/A 2,836,000.00 2,363,000.00 1,888,000.00
Current Liabilities N/A 18,800,000.00 25,873,000.00 26,786,000.00
Trade And Other Current Payables N/A 14,823,000.00 20,996,000.00 22,208,000.00
Current Tax Liabilities Current N/A 447,000.00 1,028,000.00 322,000.00
Current Recognised Liabilities Defined Benefit Plan N/A 2,418,000.00 2,926,000.00 3,099,000.00
Line item in (eur) 01.01.2020/
01.01.2021
01.01.2021/
01.01.2022
01.01.2022/
01.01.2023
Revenue 61,364,000.00 63,052,000.00 76,295,000.00
Other Income 1,083,000.00 1,006,000.00 1,313,000.00
Changes In Inventories Of Finished Goods And Work In Progress -13,000.00 16,000.00 -6,000.00
Other Work Performed By Entity And Capitalised 489,000.00 681,000.00 1,271,000.00
Raw Materials And Consumables Used 20,319,000.00 20,968,000.00 22,984,000.00
Employee Benefits Expense 12,147,000.00 12,930,000.00 17,073,000.00
Depreciation Amortisation And Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss 3,491,000.00 3,519,000.00 3,125,000.00
Other Expense By Nature 18,650,000.00 19,873,000.00 25,852,000.00
Profit Loss From Operating Activities 8,343,000.00 7,116,000.00 9,850,000.00
Finance Income 90,000.00 308,000.00 449,000.00
Finance Costs 567,000.00 503,000.00 1,865,000.00
Profit Loss Before Tax 7,865,000.00 6,921,000.00 8,434,000.00
Income Tax Expense Continuing Operations -532,000.00 1,421,000.00 2,944,000.00
Profit (loss) 8,397,000.00 5,500,000.00 5,490,000.00
Profit Loss Attributable To Owners Of Parent 8,397,000.00 5,500,000.00 5,490,000.00
Line item in (eur) 01.01.2020 01.01.2021 01.01.2022 01.01.2023
Profit (loss) N/A 8,397,000.00 5,500,000.00 5,490,000.00
Adjustments For Income Tax Expense N/A -532,000.00 1,421,000.00 2,944,000.00
Adjustments For Decrease Increase In Inventories N/A -38,000.00 -534,000.00 95,000.00
Adjustments For Provisions N/A 26,000.00 -446,000.00 -851,000.00
Other Adjustments For Noncash Items N/A 77,000.00 N/A N/A
Adjustments For Losses Gains On Disposal Of Noncurrent Assets N/A 22,000.00 -20,000.00 -29,000.00
Cash Flows From Used In Operations N/A 13,598,000.00 6,849,000.00 14,571,000.00
Interest Paid Classified As Operating Activities N/A 108,000.00 154,000.00 141,000.00
Cash Flows From Used In Operating Activities N/A 13,060,000.00 6,384,000.00 13,812,000.00
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities N/A N/A -2,710,000.00 N/A
Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities N/A 5,000.00 48,000.00 48,000.00
Purchase Of Property Plant And Equipment Classified As Investing Activities N/A 1,898,000.00 2,020,000.00 1,434,000.00
Purchase Of Intangible Assets Classified As Investing Activities N/A 1,083,000.00 1,296,000.00 1,300,000.00
Cash Flows From Used In Investing Activities N/A -2,977,000.00 -558,000.00 -2,687,000.00
Payments To Acquire Or Redeem Entitys Shares N/A 2,765,000.00 399,000.00 3,284,000.00
Repayments Of Borrowings Classified As Financing Activities N/A 868,000.00 470,000.00 473,000.00
Payments Of Lease Liabilities Classified As Financing Activities N/A 871,000.00 702,000.00 746,000.00
Dividends Paid Classified As Financing Activities N/A 2,131,000.00 2,249,000.00 2,421,000.00
Cash Flows From Used In Financing Activities N/A -6,636,000.00 -3,821,000.00 -6,923,000.00
Increase (decrease) in cash and cash equivalents before effect of exchange rate changes N/A 3,447,000.00 2,005,000.00 4,202,000.00
Effect Of Exchange Rate Changes On Cash And Cash Equivalents N/A 74,000.00 42,000.00 -53,000.00
Increase (decrease) in cash and cash equivalents after effect of exchange rate changes N/A 3,521,000.00 2,047,000.00 4,149,000.00
Cash and cash equivalents 14,425,000.00 17,946,000.00 19,994,000.00 24,143,000.00

Please note that some sums might not add up.

Filings & Publications

2021

Report
Q1
H1
Q3
FY
Consolidated Report
NLD / ENG
Corporate Governance Report
Company Presentation
Sustainability Report
Remuneration Report

Insider Trades

Date Trading entity / Person Association Trade type Volume
20.06.23 CECAN INVEST Board Buy EUR 795,000.00
15.03.23 CECAN INVEST Board Buy EUR 666,000.00
08.07.22 Midelco NV Close relation Buy EUR 35,572.23
27.05.22 Midelco NV Close relation Buy EUR 145,104.27
20.05.22 Midelco NV Close relation Buy EUR 14,433.30
13.05.22 Midelco NV Close relation Buy EUR 3,669.40
25.04.22 Midelco NV Close relation Buy EUR 414,643.72
22.04.22 Midelco NV Close relation Buy EUR 37,297.19
31.03.22 Midelco NV Close relation Buy EUR 11,600.00
25.03.22 Midelco NV Close relation Buy EUR 12,907.98

Capital markets information

ISIN

BE0974323553

LEI

529900EKGNL8HWTMTO81

Sector

Consumer Discretionary

Industry Group

Consumer Services

Industry

Diversified Consumer Services

Sub-Industry

Specialized Consumer Services

Listed Stock Exchange

Euronext Brussels

Main Stock Exchange

Contact Investor Relations department

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