Earnings Release • Mar 27, 2023
Earnings Release
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| Six months ended 30 June 2021 € |
Six months ended 30 June 2020 € |
|
|---|---|---|
| Receivable rights of use and other income Other income/(losses) - net General expenses and administrative operating expenses Loss on disposal of immovable property Loss on disposal of shares |
504,136 (19,841) (606,563) - - |
494,091 700 (615,186) - - |
| Operating loss | (122,268) | (120,395) |
| Financing costs Financing income Share in gain of associated companies after tax |
(459,273) 581,702 - |
(1,265,351) - |
| Loss before tax Tax charge |
161 (10,073) |
(1,385,746) (8,017) |
| Loss after tax for the period | (9,912) | (1,393,763) |
| Attributable to: Company shareholders |
(9,912) | (1,393,763) |
| Loss per share attributable to the Company's shareholders (cents per share) |
cents | cents |
| Basic and diluted | (0.0) | (0.65) |
| 30 June 2021 |
31 December 2020 |
|
|---|---|---|
| € | € | |
| Assets | ||
| Non-Current Assets | ||
| Property, plant and equipment | 91,327 | 111,798 |
| Investment property | 17,345,111 | 17,345,111 |
| Investments in associated companies | 9,479,958 | 9,479,958 |
| Financial assets at fair value through profit and loss | 1,763 | 1,763 |
| Financial assets at amortised cost - borrowings | 31,105,549 | 31,278,460 |
| Financial assets at amortised cost – deferred compensation from | ||
| parent company | 27,500,000 | 27,500,000 |
| Blocked bank deposits | 5,000,000 | 5,000,000 |
| 90,523,706 | 90,717,090 | |
| Current Assets | ||
| Other non-financial assets | 71,786 | 58,459 |
| Financial assets at amortised cost Trade receivables |
1,346,547 1,840 |
1,259,729 2,690 |
| Cash and cash equivalents | 86,401 | 161,534 |
| 1,506,574 | 1,482.502 | |
| Total Assets | 92,030,280 | 92,199,592 |
| Equity Capital and reserves attributable to the Company's |
||
| shareholders | ||
| Share capital | 72,738,220 | 72,738,220 |
| Difference from conversion of share capital into Euro | 197,184 | 197,184 |
| Share premium reserve | 25,018,383 | 25,018,383 |
| Own shares | (154,437) | (154,437) |
| Capital reserve | 23,000,000 | 23,000,000 |
| Fair value reserve | (13,847,451) | (13,847,451) |
| Retained earnings | (55,232,662) | (55,222,751) |
| Total equity | 51,719,237 | 51,729,148 |
| Liabilities Non-current Liabilities |
||
| Borrowings | 11,008,260 | 11,195,385 |
| Deferred tax liabilities | 1,712,021 | 1,712,021 |
| 12,720,281 | 12,907,406 | |
| Current Liabilities | ||
| Creditors and accruals | 3,031,868 | 3,275,369 |
| Current tax liabilities | 1,671,840 | 1,735,587 |
| Borrowings | 12,262,923 | 11,927,948 |
| Provision for compensation for early termination of contract | 7,000,000 | 7,000,000 |
| Guarantees and credit commitments | 3,624,131 | 3,624,134 |
| Total Non-current Liabilities | 27,590,762 | 27,563,038 |
| Total Liabilities | 40,311,043 | 40,470,444 |
| Total Equity and Liabilities | 92,030,280 | 92,199,592 |
| Six-month period ended 30 | Share Capital € |
Difference from conversion of capital into Euro € |
Equity € |
Share premium reserve € |
Capital Reserve € |
Fair value reserve € |
Retained Earnings € |
Capital and reserves attributable to the Group's shareholders € |
|---|---|---|---|---|---|---|---|---|
| June 2020 | ||||||||
| Balance as at 1 January 2020 | 72,738,820 | 197,184 | (154,437) | 25,018,383 | - | 1,515,846 | (67,511.342) | 31,803,854 |
| Total income Loss for the period |
- | - | - | - | - | - | (1,393,763) | (1,393,763) |
| Total income for the period | - | - | - | - | - | - | (1,393,763) | (1,393,763) |
| Transactions with owners Transfer to retained losses |
- | - | - | - | - | - | - | - |
| Total transactions with owners | - | - | - | - | - | - | - | - |
| Balance as at 30 June 2020 | 72,738,820 | 197,184 | (154,437) | 25,018,383 | 1,515,846 | (68,905,105) | 30,410,091 | |
| Six-month period ended 30 June 2021 Balance as at 31 January 2021 |
72,738,820 | 197,184 | (154,437) | 25,018,383 | 23,000,000 | (13,847,451) | (55,222,750) | 51,729,148 |
| Total income Loss for the period |
- | - | - | - | - | - | (9,912) | (9,912) |
| Total income for the period | 72,738,820 | 197,184 | (154,437) | 25,018,383 | 23,000,000 | (13,847,451) | (55,232,662) | 51,719,237 |
| 30 June 2021 € |
30 June 2020 € |
|
|---|---|---|
| Cash flow (for)/from operations before changes in working capital |
(107,315) | (96,911) |
| Changes in working capital | (342,709) | 52,599 |
| Cash from operations | ||
| Tax paid | (450,024) (63,747) |
(44,312) (46,075) |
| Net cash (for)/from operations | (513,771) | (90,387) |
| Cash flow for investing activities | ||
| Additions to investment property Proceeds from sale of property, plant and equipment |
- - |
(9,111) - |
| Net movement in non-current assets | - | (20,803) |
| Net cash for investing activities | - | (29,914) |
| Cash flow from financing activities | ||
| Net borrowings | 463,944 | 87,312 |
| Interest paid | - | (7,777) |
| Net cash from financing activities | 463,944 | 79,535 |
| Net decrease in cash and cash equivalents and bank | ||
| overdrafts | (49,827) | (40,766) |
| Cash and cash equivalents and bank overdrafts at beginning of year |
(449,306) | (538,894) |
| Cash and cash equivalents and bank overdrafts at end of period |
(499.132) | (579,660) |
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