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Demetra Holdings Plc

Annual / Quarterly Financial Statement Apr 21, 2022

2462_10-k_2022-04-21_b1ed04aa-e079-49d6-a2b2-b4e2f0c4613a.pdf

Annual / Quarterly Financial Statement

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DEMETRA HOLDINGS PLC

CONSOLIDATED STATEMENT OF PROFIT AND LOSS ACCOUNT AND OTHER COMPREHENSIVE INCOME for the year ended 31 December 2021

2021 2020
Income
Income from dividends 609.275 380.797
Income from interest 203.697 201.636
Income from rents 1.015.674 1.484.301
Other income 17.984 33.472
Profit on the sale and revaluation of land and immovable property 3.601.007 -
Profit on financial assets at fair value through profit and loss 4.039.110 797.438
9.486.747 2.897.644
Operating expenses (1.338.963) (2.066.054)
Loss on the sale and revaluation of land and immovable property - (1.869.495)
(Provision) / reversal of provision on anticipated credit losses 5.766 (25.968)
Finance costs (374.333) (378.432)
Writing-off of negative goodwill 43.205 -
(Provision) / reversal of provision for share of loss in loss from affiliated -
Verendrya 30.981 (74.110)
Share in (loss)/ profit from affiliates – Hellenic Bank (2.453.968) 10.604.798
Profit before taxation 5.399.435 9.088.383
Taxation (60.770) 58.868
Net profit for the year 5.338.665 9.147.251
Other comprehensive expenses
Items which may be reclassified to the consolidated statement of profit and
loss account in subsequent periods
Share in losses from affiliates – Hellenic Bank (1.066.468) (673.161)
Items not to be reclassified to the consolidated statement of profit and loss
account in subsequent periods
Share in profit from affiliates – Hellenic Bank 341.203 1.171.938
Other total income / (expenses) (725.265) 498.777
Total income for the year 4.613.400 9.646.028
Net profit attributable to:
Company shareholders 5.338.665 9.147.251
Basic and fully diluted earnings per share – cents 2.67 4.57
Total income attributable to:
Company shareholders 4.613.400 9.646.028
Total earnings per share - cents 2.31 4.82

DEMETRA HOLDINGS PLC

CONSOLIDATED STATEMENT OF FINANCIAL POSITION as at 31 December 2021

31/12/2021 31/12/2020
ASSETS
Non-current assets
Intangible fixed assets 1.473.214 1.500.019
Investment property 30.350.533 31.782.076
Investments in affiliates 205.371.916 209.833.173
Receivables from affiliates 11.603.917 11.394.475
Deferred taxation 358.497 394.890
Total non-current assets 249.158.077 254.904.633
Current assets
Inventories 12.070.636 6.998.619
Other receivables 147.753 181.631
Financial assets at fair value through profit and loss 20.299.176 16.362.299
Bank deposits 8.000 8.000
Cash and cash equivalents 917.223 962.572
Current tax liabilities 26.739 26.739
Total current assets 33.469.527 24.539.860
Total assets 282.627.604 279.444.493
EQUITY AND LIABILITIES
Equity
Share capital 140.000.000 140.000.000
Reserves 130.064.956 126.959.646
Total equity 270.064.956 266.959.646
Non-current liabilities
Long-term loans 7.023.808 7.316.612
Total non-current liabilities 7.023.808 7.316.612
Current liabilities
Current overdrafts 303.495 -
Current long-term loan instalments 1.838.302 1.841.226
Provision for losses of affiliates 2.594.747 2.497.365
Trade and other creditors 802.296 829.644
Total current liabilities 5.538.840 5.168.235
Total equity and liabilities 282.627.604 279.444.493
Net assets per share – cents 135.03 133.48

CONSOLIDATED STATEMENT OF CASH FLOWS for the year ended 31 December 2021

2021 2020
Cash flow from operating activities
Profit for the year before taxation 5.399.435 9.088.383
Adjustments for:
Depreciation of intangible fixed assets 64.043 87.262
Loss /(Profit) on the sale and revaluation of intangible fixed assets (33.237) 31.508
Profit on the disposal and revaluation of financial assets at fair value
through profit and loss (4.039.110) (797.438)
Loss on the sale and revaluation of investment property 1.333.370 1.549.358
Negative goodwill (43.205) -
(Reversal of provision) / Provision for share in loss from affiliates (30.981) 74.110
Share in loss / (profit) from affiliates 2.453.968 (10.604.798)
Provision / (reversal of provision) for anticipated credit losses (5.764) 26.125
Loan interest payable 320.135 366.736
Net cash flow before changes in working capital 5.418.654 (178.754)
(Increase) / decrease in immovable property inventories (5.072.017) 225.000
(Increase) / decrease in other receivables 33.878 (61.749)
Increase in net receivables from affiliates (203.678) (200.714)
Net purchases and sales of financial assets at fair value
through profit and loss 102.233 274
(Decrease) / increase in trade and other creditors (27.348) 139.679
Decrease in bank deposits - 844.395
Purchase of investment property (37.753) (690.781)
Adjustment of cost of investment property 5.926 5.943
Proceeds from sale of investment property 130.000 -
Cash from operating activities 349.895 83.293
Tax paid (24.377) (35.314)
Net cash from operating activities 325.518 47.979
Cash flow from investing activities
Purchase of intangible fixed assets (4.001) (28.224)
Purchase of affiliates (54.498) -
Net cash for investing activities (58.499) (28.224)
Cash flow from financing activities
Proceeds from new loan 2.982.090 -
Loan repayment (3.597.953) (1.594.480)
Net cash for financing activities (615.863) (1.594.480)
Net decrease in cash and cash equivalents (348.844) (1.574.725)
Cash and cash equivalents at beginning of year 962.572 2.537.297
Cash and cash equivalents at end of year 613.728 962.572

DEMETRA HOLDINGS PLC

CONSOLIDATED STATEMENT OF CHANGES IN EQUITY

for the year ended 31 December 2021

Share capital
Exchange
difference
reserve
Negative
goodwill
reserve
(Accumulated
Losses)
accumulated
profits
Total
equity
Balance as at 1 January 2020 140.000.000 319.437 119.850.066 (2.501.446) 257.668.057
Net profit for the year after taxation - - - 9.147.251 9.147.251
Other total expenses
for the year after taxation
- - - 498.777 498.777
Other transactions with shareholders - - - (354.439) (354.439)
Balance as at
31 December 2020 / 1 January 2021
140.000.000 319.437 119.850.066 6.790.143 266.959.646
Adjustments of previous years (128.363) (128.363)
Net profit for the year after taxation - - - 5.338.665 5.338.665
Other total expenses
for the year after taxation
- - - (725.265) (725.265)
Other transactions with shareholders - - - (1.379.727) (1.379.727)
Balance as at 31 December 2021 140.000.000 319.437 119.850.066 9.895.453 270.064.956

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