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

Agros Development Company "Proodos" Public LTD

Annual / Quarterly Financial Statement Apr 27, 2023

2447_10-k_2023-04-27_bf17f16c-66a9-41fa-9ea6-e54509ba9004.pdf

Annual / Quarterly Financial Statement

Open in Viewer

Opens in native device viewer

STATEMENT OF PROFIT AND LOSS AND OTHER TOTAL INCOME For the year ended 31 December 2022

2022 2021
Turnover 3.585.978 2.528.390
Cost of sales (2.260.297) (1.398.252)
Gross profit 1.325.681 1.130.138
Administrative and operating expenses (413.902) (337.207)
Operating profit before interest, taxes, amortisations and
depreciations 911.779 792.931
Amortisations (285.510) (329.115)
Reversal of asset impairment - 2.250.663
Profit from operations 626.269 2.714.479
Net finance cost (143.201) (166.366)
Profit before taxation 483.068 2.548.113
Taxation (68.880) (310.998)
Profit for the year 414.188 2.237.115
Other total income
Amounts not to be reclassified in profit or loss in subsequent periods:
Adjustment of fair value of land - 110.000
Taxation in other total income 2.810 (20.430)
Other total income for the year 2.810 89.570
Total profit for the year 416.998 2.326.685
Basic and fully diluted profit per share (cents) 11.54 62.31

STATEMENT OF FINANCIAL POSITION

As at 31 December 2022

2022 2021
ASSETS
Non-current assets 12.424.436 13.200.000
Property, plant and equipment 62.443 99.396
Deferred taxation 12.486.879 13.299.396
Total non-current assets
Current assets
Stock 86.661 74.006
Trade and other receivables 361.329 152.315
Property for development and sale 656.142 656.142
Cash at bank and in hand 300.239 430.653
Total current assets 1.404.371 1.313.116
Total assets 13.891.250 14.612.512
EQUITY AND LIABILITIES
Equity
Share capital 6.139.268 6.139.268
Share premium reserve 1.198 1.198
Reserves 1.767.155 1.730.892
Total equity 7.907.621 7.871.358
Non-current liabilities
Borrowing 3.840.974 4.649.679
Deferred taxation 1.170.441 1.141.324
Total non-current liabilities 5.011.415 5.791.003
Current liabilities
Trade and other liabilities 416.329 366.752
Deferred income 38.905 31.536
Borrowing 516.980 551.863
Total current liabilities 972.214 950.151
Total liabilities 5.983.629 6.741.154
TOTAL EQUITY AND LIABILITIES 13.891.250 14.612.512

STATEMENT OF CASH FLOWS For the year ended 31 December 2022

2022 2021 € € Cash flow from operations Profit before taxation 483.068 2.548.113 Adjustments for: Depreciation of property, plant and equipment 285.510 329.115 Reversal of asset impairment - (2.250.663) Interest payable 126.420 145.548 894.998 772.113 Changes in working capital: Increase in stock (12.655) (12.101) Increase in trade and other amounts receivable (209.014) (53.605) Increase in trade and other amounts payable 44.670 177.794 Increase in deferred income 7.369 10.220 Cash from operations 725.368 894.421 Cash flow from investing activities Payments for the purchase of property, plant and equipment (151.946) (562.143) Government subsidy for the purchase of property, plant and equipment 642.000 - Net cash from / (for) investing activities 490.054 (562.143) Cash flow from financing activities Repayment of loans (858.176) (498.230) Proceeds from new loans - 750.000 Interest paid (111.824) (135.292) Dividends paid (337.798) - Defence contribution in deemed distribution of dividend paid (38.038) (73.600) Net cash (for)/from financing activities (1.345.836) 42.878 Net (decrease) / increase in cash and cash equivalents (130.414) 375.156 Cash and cash equivalents at beginning of year 430.653 55.497 Cash and cash equivalents at end of year 300.239 430.653

STATEMENT OF CHANGES IN NET POSITION

For the year ended 31 December 2022

Share premium Fair value Accumulated
Share capital reserve reserve Capital Reserve Losses
/ profits
Total
Balance as at 1 January 2021 6.139.268 1.198 1.063.418 56.631 (1.642.246) 5.618.269
Total income
Profit for the year - - - - 2.237.115 2.237.115
Other total income
Land revaluation - - 110.000 - - 110.000
Deferred taxation - - (20.430) - - (20.430)
Total income for the year - - 89.570- - 2.237.115 2.326.685
Transactions with shareholders
Defence contribution and GESY in
deemed distribution of dividend - - - - (73.600) (73.600)
Total income for the year - - - - (73.600) (73.600)
Balance as at 31 December 2021 / 1
January 2022 6.139.268 1.198 1.152.988 56.631 521.269 7.871.354
Total income
Profit for the year - - - - 414.188 414.188
Other total income
Land revaluation - - - - - -
Deferred taxation - - 2.810 - - -
Total income for the year - - 2.810 - 414.188 414.188
Transactions with shareholders
Dividends - - - - (337.798) (337.798)
Defence contribution and GESY in
deemed distribution of dividend - - - - (48.648) (48.648)
Old dividends struck-off - - - - 5.711 5.711
Total transactions with shareholders - - - - (380.735) (380.735)
Balance as at 31 December 2022 6.139.268 1.198 1.155.798 56.631 554.722 7.907.617

Talk to a Data Expert

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