Interim / Quarterly Report • Sep 30, 2022
Interim / Quarterly Report
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Interim Condensed Consolidated Financial Statements
For the period from 1 January 2022 to 30 June 2022
| 30 June 2022 Unaudited |
30 June 2021 Unaudited |
|
|---|---|---|
| €000 | €000 | |
| Revenue Cost of sales |
- - |
12.700 (3.532) |
| Gross profit | ____ - |
____ 9.168 |
| Administrative expenses | (128) | (221) |
| Selling and marketing expenses Other income |
- 94 |
(280) 111 |
| Operating (loss)/profit | ____ (34) |
____ 8.777 |
| Finance cost Share of profit of investment in associates |
- 351 |
(147) 645 |
| Profit before tax | ____ 317 |
____ 9.275 |
| Tax | - | - |
| Profit for the period | _ 317 _ |
_ 9.275 _ |
| Other comprehensive income Share of reserves of associates |
(1) | - |
| ____ | ____ | |
| Total comprehensive income for the period | 316 ========== |
9.275 ========== |
| Profit per share attributable to Company's shareholders | ||
| (cent per share): - Basic and fully diluted |
0,25 ========== |
7,21 ========== |
| 30 June | 31 December | |
|---|---|---|
| 2022 | 2021 | |
| Unaudited €000 |
Audited €000 |
|
| Assets | ||
| Non-current assets | ||
| Property, plant and equipment | 13 | 18 |
| Investments in associates | 103.900 | 103.550 |
| _____ 103.913 |
_____ 103.568 |
|
| Current assets | _____ | _____ |
| Inventories | 300 | 300 |
| Financial assets at amortised cost | 8.514 | 8.402 |
| Tax refundable | 15 | 10 |
| Cash and cash equivalents | 2.226 _____ |
2.388 _____ |
| 11.055 _____ |
11.100 _____ |
|
| Total Assets | 114.968 | 114.668 |
| Equity and liabilities | =========== | =========== |
| Capital and reserves | ||
| Share Capital | 21.860 | 21.860 |
| Share Premium | 1.757 | 1.757 |
| Reserve of changes in equity of associates | 536 | 537 |
| Reserve arising on translation of share capital into Euro | 86 | 86 |
| Retained Earnings | 90.263 _____ |
89.939 _____ |
| Total Equity | 114.502 | 114.178 |
| Current liabilities | _____ | _____ |
| Trade and other payables | 466 _____ |
490 _____ |
| 466 | 490 | |
| Total Liabilities | _____ 466 |
_____ 490 |
| Total Equity and Liabilities | _____ 114.968 |
_____ 114.668 |
| =========== | =========== |
| Share capital €000 |
Share premium €000 |
Reserve arising on translation of share capital into Euros €000 |
Reserve of changes in equity of associates €000 |
Retained earnings €000 |
Total €000 |
|
|---|---|---|---|---|---|---|
| Balance at 1 January 2021 | 21.860 | 1.757 | 86 | 609 | 80.136 | 104.448 |
| Profit for the period | ___ | ___ | ___ | ____ | ___ | ___ |
| - | - | - | - | 9.275 | 9.275 | |
| Other comprehensive income Share of reserves of associates |
_ - _ |
_ - _ |
_ - _ |
_ - _ |
_ - _ |
_ - _ |
| Total other comprehensive income | - | - | - | - | - | - |
| ___ | ___ | ___ | ____ | ___ | ___ | |
| Total Comprehensive Income for the | - | - | - | - | 9.275 | 9.275 |
| period | ___ | ___ | ___ | ____ | ___ | ___ |
| Balance at 30 June 2021 | 21.860 | 1.757 | 86 | 609 | 89.410 | 113.722 |
| (unaudited) | ========= | ========= | ========= | ========== | ========= | ========= |
| Balance at 1 January 2022 | 21.860 | 1.757 | 86 | 537 | 89.939 | 114.178 |
| Readjustment on opening balance | - | - | - | - | 7 | 7 |
| Readjusted new balance | ___ | ___ | ___ | ____ | ___ | ___ |
| 21.860 | 1.757 | 86 | 537 | 89.946 | 114.186 | |
| ___ | ___ | ___ | ____ | ___ | ___ | |
| Profit for the period | - | - | - | - | 317 | 317 |
| Other Comprehensive Income | ___ | ___ | ___ | ____ | ___ | ___ |
| Share of reserves of associates | - | - | - | (1) | - | (1) |
| Total other comprehensive income | ___ | ___ | ___ | ____ | ___ | ___ |
| - | - | - | (1) | - | (1) | |
| Total Comprehensive Income for the period |
_ - _ |
_ - _ |
_ - _ |
_ (1) _ |
_ 317 _ |
_ 316 _ |
| Balance at 30 June 2022 | 21.860 | 1.757 | 86 | 536 | 90.263 | 114.502 |
| (unaudited) | ========= | ========= | ========= | ========== | ========= | ========= |
| 30 June 2022 Unaudited €000 |
30 June 2021 Unaudited €000 |
|
|---|---|---|
| Cash flows from operating activities | ||
| Cash (used in)/from operations | (150) ___ |
14.705 ___ |
| Net cash (used in)/from operating activities | (150) ___ |
14.705 ___ |
| Cash flows from investing activities | ||
| Proceeds from repayment of loans from related parties | - | 60 |
| Loans granted to related parties | (12) ____ |
(5) ____ |
| Net cash (used in)/from investing activities | (12) ____ |
55 ____ |
| Cash flows from financing activities | ||
| Repayments of bank loans Interest paid |
- - ____ |
(9.631) (147) ____ |
| Net cash used in financing activities | - | (9.778) |
| Net (decrease)/increase in cash and cash equivalents overdrafts | ____ (162) |
____ 4.983 |
| Cash and cash equivalents at the beginning of the period | 2.388 | 65 |
| Cash and cash equivalents at the end of the period | ____ 2.226 ========== |
____ 5.068 ========== |
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