Annual / Quarterly Financial Statement • Sep 26, 2023
Annual / Quarterly Financial Statement
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Interim Condensed Consolidated Financial Statements
For the period from 1 January 2023 to 30 June 2023
| 30 June 2023 Unaudited €000 |
30 June 2022 Unaudited €000 |
|
|---|---|---|
| Revenue Administrative expenses |
182 (421) ___ |
160 (432) ___ |
| Operating loss | (239) | (272) |
| Finance cost Share of profit from investments accounted for using |
- | (20) |
| equity method | 3.352 ___ |
1.368 ___ |
| Profit before tax Tax |
3.113 - ___ |
1.076 (5) ___ |
| Profit for the period | 3.113 ========= |
1.071 ========= |
| Other comprehensive income Share of reserves of investments accounted for using equity method |
10 | (4) |
| Total comprehensive income for the period | ___ 3.123 ========= |
___ 1.067 ========= |
| Profit for the period attributable to: Owners of the company Non-controlling interest |
3.123 - ___ 3.123 |
1.087 (16) ___ 1.071 |
| Profit per share attributable to the shareholders of the Company (cent per shares): Basic and fully diluted |
========= 2,27 ========= |
========= 0,79 ========= |
| 30 June 2023 Unaudited €000 |
31 December 2022 Audited €000 |
|
|---|---|---|
| Assets | ||
| Non-current assets | ||
| Investment property Investments accounted for using the equity method |
321.171 63.777 |
321.054 60.415 |
| __ 384.948 __ |
__ 381.469 __ |
|
| Current assets | ||
| Financial assets at amortised cost Financial assets at fair value through income |
9.266 | 8.027 |
| statement | 522 | 511 |
| Other assets | 217 | 150 |
| Cash and cash equivalents at bank | 10.574 _____ |
12.448 _____ |
| 20.579 | 21.136 | |
| Total assets | _____ 405.527 =========== |
_____ 402.605 =========== |
| Equity and liabilities Equity attributable to owners of the parent Share capital Own shares Fair value reserve Revenue reserve Other reserves Retained earnings |
50.916 (218) 107.875 17.236 (15) 174.015 _____ |
50.916 (183) 170.866 17.236 (15) 170.902 _____ |
| Total equity | 349.809 _____ |
346.722 _____ |
| Non-current liabilities Deferred tax liabilities |
55.426 _____ |
55.426 _____ |
| 55.426 _____ |
55.426 _____ |
|
| Current liabilities Trade and other payables Provisions |
292 - |
157 300 |
| _____ 292 |
_____ 457 |
|
| Total liabilities | _____ 55.718 |
_____ 55.883 |
| Total equity and liabilities | _____ 405.527 |
_____ 402.605 |
| =========== | =========== |
| Attributable to owners of the Company | |||||||||
|---|---|---|---|---|---|---|---|---|---|
| Share Capital €000 |
Share Premium €000 |
Own shares €000 |
Fair value reserve €000 |
Other reserves €000 |
Revenue Reserve €000 |
Retained Earnings €000 |
Total €000 |
Non controlling Interest €000 |
Total equity €000 |
| 50.916 | - | (183) | 107.866 | 17.236 | (15) | 170.902 | 346.722 | - | 346.722 |
| - | - | - | - | - | - | 3.113 | 3.113 | - | ____ 3.113 |
| - - |
- - |
- (35) |
10 - |
- - |
- - |
- - |
10 (35) |
- - |
____ 10 (35) |
| - | - | (35) | 10 | - | - | - | (25) | - | ____ (25) |
| - | - | (35) | 10 | - | - | 3.113 | 3.088 | - | ____ 3.088 |
| 50.916 | - | (218) | 107.875 | 17.236 | (15) | 174.015 | 349.809 | - | ____ 349.809 ============ |
| 59.173 | 910 | - | 107.430 | 17.236 | (15) | 138.046 | 322.779 | 723 | 323.502 |
| - | - | - | - | - | - | 1.087 | 1.087 | (16) | ____ 1.071 |
| - - |
- - |
- (98) |
(4) - |
- - |
- - |
- - |
(4) (98) |
- - |
____ (4) (98) |
| - | - | (98) | (4) | - | - | - | (102) | (16) | ____ (102) |
| - | - | (98) | (4) | - | - | 1.087 | 985 | (16) | _ 969 _ |
| 59.173 ========= |
910 | (98) ========= |
107.426 ========== |
17.236 | (15) | 139.133 | 323.765 ========== |
707 | 324.471 =========== |
| _ _ _ _ _ ========= _ _ _ _ _ |
_ _ _ _ _ =========== _ _ _ _ _ =========== |
__ _ _ _ _ ========== _ _ _ _ ___ |
_ _ _ _ _ ========= _ _ _ _ _ |
_ _ _ _ _ ========= _ _ _ _ _ |
_ _ _ _ _ =========== _ _ _ _ _ |
_ _ _ _ _ =========== _ _ _ _ _ ========= =========== ========== |
_ _ _ _ _ ========== _ _ _ _ _ |
_ _ _ _ ___ =========== _ _ _ _ ____ =========== |
| 30 June 2023 Unaudited €000 |
30 June 2022 Unaudited €000 |
|
|---|---|---|
| Cash flows from operating activities Cash used in operations |
(652) | (6.983) |
| Net cash used in operating activities | ____ (652) |
____ (6.983) |
| Cash flows from investing activities Dividends received Amount paid for the purchase of financial assets at fair value |
____ - |
____ 2.366 |
| through profit or loss Loans granted to related parties Additions on investment property |
- (1.120) (117) |
(502) (534) (86) |
| Net cash (used in)/from investing activities | _ (1.237) _ |
_ 1.122 _ |
| Cash flows from financing activities Purchases of own shares Interest paid Interest received |
(35) - 50 |
(98) (1) 12 |
| Net cash from/(used in) financing activities | _ 15 _ |
_ (87) _ |
| Net decrease in cash and cash equivalents | (1.874) | (5.826) |
| Cash and cash equivalents at the beginning of period | 12.448 | 23.751 |
| Cash and cash equivalents at the end of period | ____ 10.574 ========== |
____ 17.925 ========== |
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