AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

Interfund Investments PLC

Earnings Release Sep 26, 2023

2469_ir_2023-09-26_f237888a-cbc8-453c-abb2-31c91f462bc3.pdf

Earnings Release

Open in Viewer

Opens in native device viewer

CONDENSED STATEMENT OF PROFIT AND LOSS AND OTHER TOTAL INCOME for the period ended 30 June 2023

Period ended 30 June Year ended 31
December
2023 2022 2022
Income 509.498 228.899 1.734.379
Profit from investing activities - - -
Administrative expenses (119.124) (117.014) (291.685)
Profit from operations 390.374 111.885 1.442.694
Finance income 364 14 -
Finance costs (7.346) (3.786) (42.289)
Profit before taxation 383.392 108.113 1.400.405
Taxation - - (684)
Net profit for the period 383.392 108.113 1.399.721
Profit per share (cents) 0.27 0.10 1.24

CONDENSED STATEMENT OF FINANCIAL POSITION

for the period ended 30 June 2023

30 June
2023
30 June
2022
31 December
2022
ASSETS
Current assets
Receivables and prepayments 4.506.570 - 2.678
Financial assets at fair value 18.972.375 16.687.708 18.117.240
Cash and cash equivalents 68.259 193.652 31.357
Total assets 23.547.204 16.881.360 18.151.275
EQUITY AND LIABILITIES
Equity and reserves
Share capital 18.699.502 14.663.188 14.663.188
Share premium reserve 5.114.497 4.183.040 4.183.040
Accumulated (loss) (505.603) (2.180.603) (888.995)
23.308.396 16.665.625 17.957.233
Current liabilities
Trade and other creditors 209.325 186.936 164.559
Current tax liabilities 29.484 28.799 29.483
238.809 215.735 194.042
Total equities and liabilities 23.547.204 16.881.360 18.151.275
Net asset value of share (cents) 23.547.204 14.78 15.92

-

CONDENSED STATEMENT OF CHANGES IN EQUITY for the period ended 30 June 2023

Share capital Share Premium Reserve Accumulated profits Total Equity € € € € Balance as at 1 January 2022 14.663.188 4.183.040 (2.288.716) 16.557.512 Profit for the period - - 108.113 108.113 Balance as at 30 June 2022 14.663.188 4.183.040 (2.180.603) 16.665.625 Share capital € Share Premium Reserve € Accumulated profits € Total Equity € Balance as at 1 January 2023 14.663.188 4.183.040 (888.995) 17.957.233 Profit for the period - - 383.392 383.392 Share capital increase 4.036.314 931.457 - 4.967.771 Balance as at 30 June 2023 18.699.502 5.114.497 (550.603) 23.308.396

CONDENSED STATEMENT OF CASH FLOWS

for the period ended 30 June 2023

Period ended
30 June
2023
Period ended
30 June
2022
CASH FLOW FROM OPERATING ACTIVITIES
Profit before taxation 383.392 108.113
Adjustments for:
(Profit) from sale of financial assets at fair value through profit and loss (75.523) (3.474)
(Profit) from currency exchange transactions (364) (14)
Profit at fair value in financial assets at fair value through profit and loss (292.264) (223.228)
Credit dividends (94.601) (2.198)
Debit interest 3 2.768
Credit interest (50.108) -
(126.465) (118.033)
Changes in working capital
(Increase) in other amounts receivables (4.453.784) -
(Increase) in financial assets at fair value through profit and loss (489.985) (5.589.420)
Increase in trade and other creditors 44.767 15.037
Cash (for)/from operations (5.025.467) (5.692.416)
Collection of dividends 94.601 2.198
Net cash from operations (4.930.866) (5.690.218)
CASH FLOW FROM INVESTING ACTIVITIES
Proceeds from the issue and free granting of pre-emption rights to all
shareholders 4.967.771 -
Net cash from investing activities 4.967.771 -
CASH FLOW FROM FINANCING ACTIVITIES
Payment of interest (3) (2.768)
Collection of interest - -
Net cash from financing activities (3) (2.768)
Net decrease)in cash and cash equivalents 36.902 (5.692.986)
Cash and cash equivalents at beginning of period 31.357 5.886.638
Cash and cash equivalents at end of period 68.259 193.652

Talk to a Data Expert

Have a question? We'll get back to you promptly.