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Woolworth (Cyprus) Properties PLC

Earnings Release Dec 22, 2023

2498_ir_2023-12-22_e35b21be-edd9-4522-8c55-88a6f5e73176.pdf

Earnings Release

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Woolworth (Cyprus) Properties Plc Interim Condensed Consolidated Statement of Profit and Loss Account

30 June
2023
30 June
2022
Turnover
Rights of use of immovable property and other income
663.663 649.223
Total turnover 663.663 649.223
General expenses and administrative operating expenses (666.682) (592.430)
Other profits/(losses) - net 86.768 (27.592)
Profit from operations 83.749 29.201
Financing costs (526.498) (587.053)
Financing income 353.025 555.838
Loss before tax (89.724) (2.014)
Corporate tax and defence contribution (12.473) (12.581)
Loss after tax for the period (102.197) (14.595)
Net loss for the year attributable to the Company's
shareholders
(102.197) (14.595)
Comprehensive total losses attributable to the
Company's shareholders (102.197) (14.595)
Basic and fully diluted earnings per share attributable to
the Company's shareholders (cents per share) (0.00) (0.00)

Woolworth (Cyprus) Properties Plc Interim Condensed Consolidated Balance Sheet

30 June 31 December
2023 2022
Assets
Non-Current Assets
Property, plant and equipment 57.004 60.228
Investment property 16.985.111 16.985.111
Investments in associated companies 9.871.193 9.871.193
Financial assets at fair value through profit and loss 1.763 1.763
Financial assets at amortised cost 18.502.347 19.156.121
Contractual asset 38.253.965 38.253.965
Blocked bank deposits 5.426.637 5.333.600
89.098.020 89.661.981
Current Assets
Other non-financial assets 345.988 161.610
Financial assets at amortised cost 1.151.404 1.237.208
Cash and cash equivalents 14.296 36.024
1.511.688 1.434.842
Total Assets 90.609.708 91.096.823
Equity and Liabilities
Capital and reserves attributable to the Company's
shareholders
Share capital 72.738.220 72.738.220
Difference from conversion of share capital into Euro 197.184 197.184
Share premium reserve 25.018.383 25.018.383
Equity (154.437) (154.437)
Capital reserve 23.000.000 23.000.000
Retained losses (56.659.138) (56.556.941)
Total equity 64.140.212 64.242.409
Liabilities
Non-current Liabilities
Borrowings 5.666.026 6.031.548
Deferred tax liabilities 1.158.352 1.158.352
6.824.378 7.189.900
Current Liabilities
Creditors and expenses due 1.956.824 2.270.981
Current tax liabilities 248.396 318.046
Borrowings 15.475.119 15.110.708
Guarantees and credit commitments 1.964.779 1.964.779
19.645.118 19.664.514
Total Liabilities 26.469.496 26.854.414
Total Equity and Liabilities 90.609.708 91.096.823

Woolworth (Cyprus) Properties Plc Interim Condensed Consolidated Statement of Changes in Equity

Share
Capital
Difference
from
conversion
of capital
into Euro
Equity
Share
premium
reserve
Capital
Reserve
Retained
Losses
Capital and
reserves
attributable to
the Group's
shareholders
Balance as at 1 January 2022
/ 31 December 2021
72.738.820 197.184 (154.437) 25.018.383 23.000.000 (56.438.327) 64.361.023
Comprehensive total income
for the year
Loss for the year
- - - - - (118.614) (118.614)
Balance as at 31 December
2022
72.738.820 197.184 (154.437) 25.018.383 23.000.000 (56.556.941) 64.242.409
Comprehensive total income
for the year
Loss for the period
- - - - - (102.197) (102.197)
Comprehensive total income
for the year
- - - - - (102.197) (102.197)
Balance as at 30 June 2023 72.738.820 197.184 (154.437) 25.018.383 23.000.000 (56.659.138) 64.140.212

Woolworth (Cyprus) Properties Plc Interim Condensed Consolidated Statement of Cash Flows For the period ended 30 June 2023

30 June 30 June
2023 2022
Cash flow (for)/from operations before changes in working
capital 81.044 27.842
Changes in working capital (412.730) 245.580
Cash from operations (331.686) 273.422
Tax paid (69.655) (89.480)
Net cash (for)/from operations (401.341) 183.942
Cash flow from investing activities
Acquisition of property, plant and equipment (6.541) -
Net cash for investing activities (6.541) -
Cash flow from financing activities
Net borrowings 697.601 (75.307)
Interest paid (526.498) (587.053)
Interest collected 353.025 555.838
Net cash from financing activities 524.128 (106.522)
Net decrease in cash and cash equivalents and bank overdrafts 116.246 77.420
Amount transferred from cash and cash equivalents to bank
deposits
(93.037) -
Cash and cash equivalents and bank overdrafts at beginning of
period (593.241) (426.580)
Cash and cash equivalents and bank overdrafts at end of period (570.032) (349.160)

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