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CLR Investment Fund Public LTD

Annual Report May 29, 2023

2456_10-k_2023-05-29_b17b2463-5712-4d0d-9cd6-b386f8b19b07.pdf

Annual Report

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Consolidated Statement of Profit and Loss Account and other Total Income for the year ended 31 December 2022

2022 2021
Income
Credit dividends 2.844 -
Credit interest of bonds 5.098 -
Net gain from trading of financial assets at fair value
through profit and loss 65.111 2.352
Net gain / (loss) of fair value in financial assets at fair
value through profit and loss 268.027 (353.626)
Other operating income – proceeds from lawsuit 10.500 -
Loss from trading of financial assets (3.955) -
Total income 347.625 (351.274)
Expenses
Administrative expenses (192.237) (157.777)
Net gain/(loss) of impairment in assets and contractual
assets 3.202 (12.571)
Profit / (loss) from operations 158.590 (521.622)
Finance cost (38.133) (40.028)
Profit / (loss) before taxation 120.457 (561.650)
Taxation (484) -
Net profit / (loss) for the year 119.973 (561.650)
Other total income - -
Total profit / (loss) for the year 119.973 (561.650)
Total profit / (loss) for the year attributable to:
Parent company shareholders 119.973 (561.650)
Minority interest - -
Total profit / (loss) for the year 119.973 (561.650)
Profit / (loss) per share attributable to the
shareholders of the parent company (cents) 0.04 (0.19)

CLR INVESTMENT FUND PUBLIC LIMITED

Consolidated Statement of Financial Position as at 31 December 2022

2022 2021
ASSETS
Current assets
Investments in amortised cost 573.922 -
Non-current assets
Receivables 12.071 591
Financial assets at fair value through profit and loss 1.302.086 1.787.147
Cash and cash equivalents 1.338.306 1.460.142
2.652.463 3.247.880
Total assets 3.226.385 3.247.880
EQUITY AND LIABILITIES
Equity
Share capital 8.644.229 8.644.229
Accumulated losses (6.099.686) (6.219.659)
Total equity 2.544.543 2.424.570
Current liabilities
Trade and other creditors 84.112 73.967
Borrowings 597.246 749.343
Current tax liabilities 484 -
681.842 823.310
Total Equity and Liabilities 3.226.385 3.247.880

CLR INVESTMENT FUND PUBLIC LIMITED

Consolidated Statement of Changes in Equity for the year ended 31 December 2022

Equity attributable to the Company's shareholders
Share capital Accumulated
Losses
Total
8.664.229 (5.658.009) 2.986.220
- (561.650) (561.650)
8.644.229 (6.219.659) 2.424.570
- 119.973 119.973
2.544.543
8.644.229 (6.009.686)

CLR INVESTMENT FUND PUBLIC LIMITED

Consolidated Statement of Cash Flows for the year ended 31 December 2022

2022
2021
CASH FLOW FROM OPERATIONS
Profit / (loss) before taxation: 120.457 (561.650)
Adjustments for:
Loss/(profit) from sale of financial assets at fair value through
profit and loss 3.955 (2.352)
(Profit from reverse impairment)/charge for impairment in the
value of cash and cash equivalent
Charge for impairment in the value of receivables
(3.203)
1
12.569
2
Credit dividends (2.844) -
Credit interest (5.098) -
Debit interest 38.133 40.028
151.401 (511.403)
Changes in working capital:
Change in receivables (11.481) (583)
Change in financial assets at fair value through profit and
loss
Change in trade and other creditors
481.106
10.145
435.099
20.829
Cash from/(for) operations 631.171 (56.058)
Interest received 5.098 -
Dividends received 2.844 -
Net cash from/(for) operations 639.113 (56.058)
CASH FLOW FROM INVESTING ACTIVITIES
Payment for purchase of financial assets at amortised cost (573.922) -
Net cash for investment activities (573.922) -
CASH FLOW FROM FINANCING ACTIVITIES
Interest paid (38.133) (40.028)
Net cash for financing activities (38.133) (40.028)
Net increase/(decrease) in cash and cash equivalents 27.058 (96.086)
Cash and cash equivalents at beginning of year 710.799 819.454
Gain from reverse impairment/(charge for impairment) in the
value of cash and cash equivalents 3.203 (12.569)
Cash and cash equivalents at end of year 741.060 710.799

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