Interim / Quarterly Report • Sep 29, 2023
Interim / Quarterly Report
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for the half year ended 30 June 2023
| 1/1/2023- | 1/1/2022- | |
|---|---|---|
| 30/6/2023 | 30/6/2022 | |
| (adjusted) | ||
| € | € | |
| Insurance income | 9.279.646 | 8.777.906 |
| Insurance service expenses | (8.826.021) | (9.178.884) |
| Insurance service results from insurance policies | 453.625 | (400.978) |
| Allocation of reinsurance premiums | (2.276.961) | (979.358) |
| Recoverable amounts from reinsurers | 959.801 | 1.015.099 |
| Net results of reinsurance policies held | (1.317.160) | 35.740 |
| Insurance service results | (863.535) | (365.237) |
| Finance cost/(income) from insurance policies | (25.928) | 637.826 |
| Finance income/(cost) from reinsurance policies | 15.635 | (67.970) |
| Net finance cost from policies | (10.292) | 569.857 |
| Other finance cost | (93.690) | (99.957) |
| Gain on investments | 293.586 | (52.252) |
| Other income | 260.116 | 170.329 |
| Administrative expenses | (311.952) | (273.117) |
| Reversal of provision for doubtful claims | 274.971 | 701.370 |
| Total other income | 423.031 | 446.373 |
| (Loss)/Profit before taxation | (450.797) | 650.992 |
| Taxation | (5.873) | (4.066) |
| (Loss)/Profit for the period | (456.670) | 646.926 |
| Other comprehensive income Items not to be reclassified to profit or loss in subsequent periods |
||
| Gain/(loss) on revaluation of financial assets through other comprehensive income |
48.567 | (200.386) |
| Other comprehensive income/(expenses) for the period | 48.567 | (200.386) |
| Comprehensive (expenses)/income for the period | (408.103) | 446.540 |
| (Loss)/earnings per share attributable to the owners of the parent company (cents) |
(0.14) | 0.20 |
| 30/6/2023 | 31/12/2022 | 1/1/ 2022 | |
|---|---|---|---|
| adjusted | adjusted | ||
| € | € | € | |
| ASSETS | |||
| Non-current assets | |||
| Property, plant and equipment | 4.770.465 | 4.852.347 | 4.849.670 |
| Assets with right of use | 714.119 | 823.151 | 765.549 |
| Investment property | 9.883.696 | 10.155.946 | 9.415.647 |
| Intangible assets | 96.503 | 58.230 | 42.115 |
| Participation in joint ventures | 549.737 | 434.380 | 444.909 |
| Financial assets at fair value through other | |||
| comprehensive income | 2.506.832 | 2.879.130 | 3.742.178 |
| Reinsurance policies | 1.060.957 | 1.042.073 | 1.039.561 |
| 19.582.309 | 20.245.257 | 20.299.629 | |
| Current assets | |||
| Other claims | 1.899.502 | 1.776.166 | 1.150.938 |
| Financial assets at fair value through profit and loss | 5.445.754 | 5.504.147 | 2.671.149 |
| Cash and cash equivalents | 2.446.891 | 2.601.675 | 4.419.487 |
| Reinsurance policies | 1.460.718 | 2.207.820 | 926.083 |
| 11.252.865 | 12.089.808 | 9.167.657 | |
| TOTAL ASSETS | 30.835.174 | 32.335.065 | 29.467.286 |
| EQUITY | |||
| Share capital | 3.281.230 | 3.281.230 | 3.281.230 |
| Reserves | 7.140.797 | 7.548.900 | 6.587.586 |
| Total equity | 10.422.027 | 10.830.130 | 9.868.816 |
| Non-current liabilities | |||
| Bank borrowings | 179.049 | 455.102 | 398.698 |
| Subordinated loans | 318.897 | 313.594 | 302.989 |
| Lease liabilities | 592.554 | 688.718 | 591.927 |
| Insurance policy liabilities | 4.058.330 | 4.108.888 | 4.321.203 |
| Deferred tax liabilities | 847.514 | 847.514 | 893.325 |
| 5.996.335 | 6.413.816 | 6.148.142 | |
| Current liabilities | |||
| Other claims | 1.029.215 | 879.508 | 743.836 |
| Insurance policy liabilities | 12.137.211 | 13.535.908 | 11.268.711 |
| Bank overdrafts | 497.995 | - | 600.186 |
| Bank borrowings | 463.896 | 385.924 | 275.574 |
| Lease liabilities | 236.265 | 236.264 | 236.265 |
| Taxation due | 52.230 | 53.515 | 55.756 |
| 14.416.812 | 15.091.119 | 13.180.328 | |
| TOTAL LIABILITIES | 20.413.147 | 21.504.935 | 19.598.470 |
| TOTAL EQUITY AND LIABILITIES | 30.835.174 | 32.335.065 | 29.467.286 |
| Share Capital |
Share Premium reserve |
Nominal value reduction reserve |
Property revaluation reserve |
Investment revaluation reserve |
Contribution reserve |
Annuity reserve |
Total | |
|---|---|---|---|---|---|---|---|---|
| € | € | € | € | € | € | € | € | |
| Balance as at 1 January 2022 as previously stated |
3.281.230 | 1.610.256 | 427.234 | 3.917.317 | 63.664 | 191.930 | 550.778 | 10.042.409 |
| Impact of the initial application of IFRS 17 Impact of the initial |
- | - | - | - | - | - | (237.446) | (237.446) |
| application of IFRS 9 | - | - | - | - | - | - | 63.853 | 63.853 |
| Balance as at 1 January 2022 as adjusted |
3.281.230 | 1.610.256 | 427.234 | 3.917.317 | 63.664 | 191.930 | 377.185 | 9.868.816 |
| Net profit for the period | - | - | - | - | - | - | 646.926 | 646.926 |
| Other comprehensive income for the period |
- | - | - | - | (200.386) | - | - | (200.386) |
| Balance as at 30 June 2022 |
3.281.230 | 1.610.256 | 427.234 | 3.917.317 | (136.772) | 191.930 | 1.024.111 | 10.315.356 |
| Balance as at 1 January 2023 |
3.281.230 | 1.610.256 | 427.234 | 4.030.119 | (203.485) | 191.930 | 1.492.846 | 10.830.130 |
| Net loss for the period Other comprehensive |
- | - | - | - | - | - | (456.670) | (456.670) |
| income for the period | - | - | - | - | - | - | - | |
| Balance as at 30 June 2023 |
3.281.230 | 1.610.256 | 427.234 | 4.030.119 | (154.919) | 191.930 | 1.036.176 | 10.422.026 |
| 1/1/2023 – |
1/1/2022 – |
|
|---|---|---|
| 30/6/2023 | 30/6/2022 | |
| € | € | |
| Cash flow from operations | ||
| Loss for the period | (446.670) | 646.926 |
| Adjustments for: | ||
| tax | 5.873 | 4.066 |
| Depreciation of property, plant and equipment | 117.391 | 118.274 |
| Depreciation of intangible assets | 27.994 | 24.363 |
| Depreciation of assets with right of use | 109.032 | 111.229 |
| (Gain)/loss in fair value of financial assets through profit and | ||
| loss | (105.493) | (143.632) |
| (Gain)/loss on sale of financial assets at fair value through | ||
| profit and loss | (29.214) | 2.235 |
| Reversal in the provision of doubtful claims | (274.971) | (701.370) |
| Loss on sale of investment property | 10.000 | - |
| Dividends receivable | (8.928) | - |
| Interest received | - | (19.099) |
| Interest paid |
93.690 | 99.957 |
| (511.296) | 430.213 | |
| Changes in working capital: | ||
| Decrease in other claims | 151.635 | 381.191 |
| Decrease/(increase) in reinsurance policies |
728.218 | (1.031.530) |
| Increase in participation in joint ventures | (115.357) | (95.923) |
| Decrease in balances of directors' current accounts |
(1) | - |
| Decrease in fixed term deposits | 365.417 | - |
| Increase/(decrease) in liabilities from insurance policies | (1.449.254) | 610.867 |
| Increase/(decrease) in other liabilities | 149.707 | (10.595) |
| Cash (for)/from operating activities |
(680.931) | 284.223 |
| Interest paid | (79.393) | (82.513) |
| Tax paid | (7.158) | (7.589) |
| Dividends receivable | 8.928 | - |
| Net cash (for)/from operating activities | (758.554) | 194.121 |
| Cash flow from investing activities | ||
| Payment for purchase of intangible assets |
(66.267) | (48.593) |
| Payment for purchase of property, plant and equipment |
(35.509) | (118.075) |
| Payment for purchase of investment property |
(12.750) | (464.308) |
| Payment for purchase of financial assets at fair value |
||
| through other comprehensive income | (-) | (450.850) |
| Payment for purchase of financial assets at fair value |
||
| through profit and loss | (122.635) | (1.180.551) |
| Payment for lease liabilities |
(105.156) | (117.870) |
| Proceeds from sale of property, plant and equipment | - | 2.269 |
|---|---|---|
| Proceeds from sale of financial assets at fair value through | ||
| profit and loss | 312.915 | - |
| Proceeds from sale of investment property | 275.000 | 470.000 |
| Proceeds from sale of financial assets at fair value through | ||
| other comprehensive income | 423.684 | 593.565 |
| Interest received | - | 19.099 |
| Net cash from/(for) investing activities | 669.282 | (1.295.314) |
| Cash flow from financing activities | ||
| Loan repayments | (198.090) | 285.600 |
| (Payment)/proceeds from fixed term deposits | (2.197) | 473.360 |
| Net cash (for)/from financing activities |
(200.287) | 731.960 |
| Net decrease in cash and cash equivalents |
(289.559) | (369.233) |
| Cash and cash equivalents at beginning of period | 639.860 | 1.499.363 |
| Cash and cash equivalents at end of period | 350.302 | 1.130.130 |
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