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Atlantis SE

Quarterly Report Nov 25, 2022

5518_10-q_2022-11-25_c979fc4a-17ed-4572-bf05-79bc10d2fb09.pdf

Quarterly Report

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A T L A N T I S SE CONDENSED FINANCIAL STATEMENT FOR 3 MONTHS

ENDED ON SEPTEMBER 30, 2022

PREPARED IN ACCORDANCE WITH INTERNATIONAL FINANCIAL REPORTING STANDARD

Tallinn, 25/11/2022

CONDENSED FINANCIAL STATEMENT FOR 3 MONTHS ENDED ON SEPTEMBER 30, 2022 (in thous. EUR)

TABLE OF CONTENTS

Statement of financial positions.………………………………………….3
Income statement….………………….…………………………………3
Statement of changes in equity……………………………………………4
Cash flow statement………………………………………….……….……………5
General information…………………………………………5
Selected financial data ………………………………………………………………6

CONDENSED FINANCIAL STATEMENT FOR 3 MONTHS ENDED ON SEPTEMBER 30, 2022 (in thous. EUR)

INTERIM CONDENSED STATEMENT OF FINANCIAL
POSITION
September 30, 2022
unaudited
in thous. EUR
June 30, 2022
audited
in thous. EUR
A s s e t s
Fixed assets 849 3 330
Long-term financial assets 849 3 330
Long-term financial assets 5 970 3 452
Short-term receivables 86 82
Short-term financial asset 5 879 3 368
Cash and cash equivalents 4 0
Short-term accruals and prepayments 1 2
A s s e t s t o t a l 6 819 6 782
L i a b i l i t i e s
Equity 6 680 6 771
Share capital 33 750 33 750
Supplementary capital 0 0
Other reserve capital 292 292
Exchange differences -1 038 -959
Profit / (loss) from the previous years and the current year -26 209 -26 312
Short-term liabilities 24 11
Trade liabilities 5 5
Other liabilities 14 1
Short-term provisions 5 5
L i a b i l i t i e s t o t a l 6 819 6 782
INTERIM CONDENSED INCOME STATEMENT 3 months ended on
30/09/2022
(unaudited)
in thous. EUR
3 months ended on
30/09/2021
(unaudited)
in thous. EUR
Net revenues from sales of products, goods and materials 106 25
Gross profit (loss) on sales (I-II) 3 26
General and administrative expenses 0 0
Other operating costs 103 -1
Profit (loss) on operating activities 103 -1
Income tax x profit 0 0
Net profit (loss) 103 -1

CONDENSED FINANCIAL STATEMENT FOR 3 MONTHS ENDED ON SEPTEMBER 30, 2022 (in thous. EUR)

STATEMENT OF COMPREHENSIVE INCOME 3 months ended on
30/09/2022
unaudited
in thous. EUR
3 months ended on
30/09/2021
unaudited
in thous. EUR
Zysk/strata netto za okres 103 -1
Other comprehensive income, including: -79 26
Items, which can be transferred at later periods to the income
statement: -79 26
- differences resulting from conversion into EURO -79 25
Comprehensive income for the period 24 25
INTERIM CONDENSED STATEMENT OF CHANGES IN
EQUITY
3 months ended on
30/09/2022
(unaudited)
In thous. EUR
3 months ended on
30/09/2021
(unaudited)
In thous. EUR
Opening balance of equity (OB) 6 771 6 655
Opening balance (OB) of equity after reconciliation to comparable
data
6 771 6 655
Opening balance of share capital 33 750 1 125
Closing balance of share capital 33 750 1 125
Opening balance of supplementary capital 0 32 444
Closing balance of supplementary capital 0 32 444
Opening balance of revaluation capital 0 0
Closing balance of revaluation capital 0 0
Opening balance of capital from merger of entities 0 0
Closing balance of capital from merger of entities 0 0
Opening balance of other reserve capital 292 473
Closing balance of other reserve capital 292 473
Opening balance of retained profit/not settled loss of previous
years -26 312 -26 481
a) increase 103 -1
- profit/loss for the period 103 -1
Closing balance of retained profit/not settled loss of previous years -26 209 -26 482
Opening balance of exchanges differences -959 -906
Changes in exchange differences -79 26
a) increase 0 26
b) decrease 79 0
Closing balance of exchanges differences -1 038 -880
Closing balance of equity (CB) 6 795 6 680

CONDENSED FINANCIAL STATEMENT FOR 3 MONTHS ENDED ON SEPTEMBER 30, 2022 (in thous. EUR)

CASH FLOW STATEMENT 3 months ended on
30/09/2022
(unaudited)
In thous. EUR
3 months ended on
30/09/2021
(unaudited)
In thous. EUR
Operating activities
Gross profit (loss) 103 -1
Adjustments total -99 1
Interests and dividends -8 -19
Granted loans - 5 150 -354
Repayments received 5 053 373
Change in the balance of liabilities -7 0
Change in the balance of accruals 12 0
Other adjustments 1 1
Gross cash flows from operating activity 4 0
Investment activity
Inflows from investment activities 0 0
Expenses due to investment activity 0 0
Net cash flows from investment activity 0 0
Financial activity
Inflows from financial activity 0 0
Expenses due to financial activity 0 0
Net cash flow from financial activity 0 0
Net cash flow, total 4 0
Balance sheet change in cash 4 0
Opening balance of cash 0 0
Closing balance of cash 4 0

GENERAL INFORMATION

Beginning of the financial year: July 1, 2022

End of the financial year: June 30, 2023

Registry code: 14633855

Address: Harju maakond, Tallinn, Kesklinna linnaosa, Tornimäe tn 5, 10145

E-mail: [email protected]

Website: www.atlantis-sa.pl

The main economic activity: As at 30/09/2021 the main economic activity registered in the Republic of Estonia is "holding company activities".

Supervisory Board: Małgorzata Patrowicz, Jacek Koralewski, Martyna Patrowicz, Wojciech Hetkowski

Management Board: Damian Patrowicz

CONDENSED FINANCIAL STATEMENT FOR 3 MONTHS ENDED ON SEPTEMBER 30, 2022 (in thous. EUR)

SELECTED FINANCIAL DATA

In thous. EURO
Three months ended n Three months ended on
30 September 2022 30 September 2021
Revenue from sales of products, goods and
materials 106 25
Profit (loss) on operating activity 103 -1
Pre-tax profit (loss) 103 -1
Net cash flow on operating activity 4 0
Changes in cash and in cash equivalents 4 0
Assets total * 6 819 6 782
Short-term liabilities * 24 11
Share capital * 33 750 33 750
Average diluted number of shares (pcs.) 240 071 918 72 113 014
Book value per share ( EURO) 0,00 0,59

* For the balance sheet items marked with an asterisk, the data presented in the second column include the balance as at 30.06.2022

Tallinn, 2022-11-25

Signatures of all Management Board Members

Damian Patrowicz Member of the Management Board
Name and surname position/function

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