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Display Art PLC

Interim / Quarterly Report Sep 28, 2023

2463_ir_2023-09-28_2c67d944-4d27-413d-ad51-ef61450099cd.pdf

Interim / Quarterly Report

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Condensed consolidated interim statement of profit and loss Period from 1 January to 30 June 2023

Six months ended 30 June
2023 2022
Income 590.252 437.693
Cost of sales (396.869) (311.539)
Gross profit 193.383 126.424
Other operating
income
25.483 60.000
Distribution and sales expenses (57.800) (40.411)
Administrative expenses (92.682) (117.236)
Operating profit 68.384 28.747
Finance costs (19.151) (20.743)
Profit
before taxation
49.233 8.004
Taxation (50) -
Profit
for the period
49.183 8.004
Earnings per share
attributable to the shareholders of
the parent company (cents) 0.36 0.06

Condensed consolidated interim statement of financial position

30 June 2023

30 June 2023 30 June 2022
Assets
Non-current assets
Property, plant and equipment 2.935.805 3.186.281
Assets with right of use 85.308 -
Intangible assets 2.715 2.152
Financial assets at fair value through other
comprehensive income 13.225 13.225
3.037.053 3.201.658
Current assets
Inventories 498.573 486.262
Trade and other receivables 186.452 285.615
Financial assets at fair value through profit and loss 1 277
Cash at bank and in hand 16.879 16.290
701.905 788.444
Total assets 3.738.958 3.990.102
Equity and liabilities
Equity
Share capital 4.592.196 4.592.196
Share premium reserve 98.673 98.673
Revaluation reserve 2.709.900 2.666.862
Accumulated losses (6.551.340) (6.600.523)
Total equity 849.429 757.708
Non-current liabilities
Borrowings 1.387.706 1.480.934
Deferred tax liabilities 189.201 438.003
1.576.907 1.918.967
Current liabilities
Trade and other creditors 496.170 450.661
Borrowings 681.602 844.150
Financial lease liabilities 35.340 18.440
Lease liabilities 98,834 -
Current tax liabilities 676 676
1.312.622 1.313.927
Total liabilities 2.889.529 3.232.894
Total equity and liabilities 3.738.958 3.990.102

Condensed consolidated interim statement of changes in equity Period from 1 January 2023 to 30 June 2023

Share
capital
Share
premium
reserve
Revaluation reserve Difference
from
conversion
of share
capital into
euro
Annuity
reserve
Total
Balance as at 1 January 2022
Total income for the period after
4.592.196 98.673 2.693.874 23.235 (6.650.761) 757.217
taxation - - -
-
8.004 8.004
Changes in revaluation of land
and buildings - - (50.247) - - (50.247)
Difference in profit for the period
(01/07/22-31/12/22)
- - -
-
42.234 42.234
Balance as at 30 June 2022 4.592.196 98.673 2.643,.627 23.235 (6.600.523) 757.208
Balance as at 1 January 2023 4.592.196 98.673 2.643.627 23.235 (6.600.523) 757.208
Total income for the period after
taxation
- - -
-
49.183 49.183
Other total income for the period - - 248.832 - - 248.832
Transactions with shareholders
Exchange difference
- - (205.794) - - (205.794)
Balance as at 30 June 2023 4.592.196 98.673 2.686.665 23.235 (6.551.340) 849.429

Consolidated interim statement of cash flows Period from 1 January 2023 to 30 June 2023

30 June 2023 30 June 2022
Cash flow from operations
Profit before taxation 49.233 8.004
Adjustments for:
Depreciation of property, plant and equipment 71.575 82.548
Depreciation of software programmes 1.020 1.020
Debit interest 16.666 -
Profit from operations before changes in working
capital 138.494 91.572
Changes in working capital:
(Increase)/decrease in inventories (12.311) 83.377
Decrease/(increase)
in receivables
99.163 (183.015)
Decrease in financial assets at fair value through profit
and loss 276 -
Increase in trade and other creditors 45.509 -
Cash
from/(for)
operations
271.131 (8.066)
Tax paid (50) -
Net cash from/(for) operations 271.081 (8.066)
Cash flow from investing activities
Payment for purchase of intangible assets (3.675) (554)
Payment for purchase of
property, plant and equipment
(205.794) -
Proceeds from sale of intangible assets 2.092 -
Proceeds from sale of property, plant and equipment 205.794 30.663
Net cash (for)/from
investing activities
(1.583) 30.109
Cash flow from financing activities
Loan repayments (98.794) (321)
Repayments of financial lease liabilities - (2.867)
Repayments of lease liabilities (7.801) -
Proceeds from new loans - 426.670
Proceeds from financial leases 16.900 -
Interest paid (16.666) (18.724)
Net cash (for)/from
financing activities
106.361 404.758
Net increase in cash and cash equivalents 163.137 426.801
Cash and cash equivalents
at beginning of period
(827.860) (1.254.661)
Cash and cash equivalents
at end of period
(664.723) (827.860)

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