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Demetra Holdings Plc

Quarterly Report Dec 1, 2021

2462_10-q_2021-12-01_7badd017-504d-4d8d-8527-bd028bf42dc9.pdf

Quarterly Report

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INTERIM CONDENSED CONSOLIDATED STATEMENT OF PROFIT AND LOSS AND OTHER COMPREHENSIVE INCOME for the period 1 January 2021 to 30 September 2021

2020 €

Nine months ended 30 September 2021 Income Income from dividends 609,275 380,797 Income from interest 152,354 151,170 Income from rents 788,625 1,134,406 Other income 17,984 - Profit from financial assets 2,486,839 - 4,055,077 1,666,373 Operating expenses (953,992) (1,355,817) Loss from sale and revaluation of land and buildings (3,250) - Loss from financial assets - (1,990,270) (Provision) / Reversal of provision for expected credit losses (299) 10,469 Finance costs (245,070) (251,061) (Provision) / Reversal of provision for share in loss from affiliates 5,838 (59,927) Share in profit from affiliates 4,411,890 8,403,579 Profit before taxation 7,270,194 6,423,346 Taxation (18,930) (27,442)

Net profit for the period 7,251,264 6,395,904

Other comprehensive expenses
------------------------------ -- --
Amounts to be classified in the consolidated profit or loss account in future
periods
Share in loss from affiliates (693,120) (576,527)
Amounts not to be classified in the consolidated profit or loss account in
future periods
Share in profit / (loss) from affiliates 101,058 (11,753)
Total income for the period 6,659,202 5,807,624
Net profit attributable to:
Shareholders of the Company 7,251,264 6,395,904
Profit per share - cents 3,63 3,20
Total income attributable to:
Shareholders of the Company 6,659,202 5,807,624
Total income per share - cents 3,33 2,90

INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION as at 30 September 2021

30 September 31 December
2021 2020
ASSETS
Non-current assets
Intangible fixed assets 1.452.951 1.500.019
Immovable property for investment 31.814.376 31.782.076
Investments to affiliates 213.998.195 209.833.173
Receivables from affiliates 11.546.815 11.394.475
Deferred taxation 394.890 394.890
Total non-current assets 259.207.227 254.904.633
Current assets
Inventories of immovable property 7.159.268 6.998.619
Other receivables 174.429 181.631
Financial assets at fair value through profit and loss 18.747.023 16.362.299
Bank deposits 8.000 8.000
Cash and cash equivalents 4.909.737 962.572
Current tax claims 25.286 26.739
Total current assets 31.023.743 24.539.860
Total assets 290.230.970 279.444.493
NET POSITION AND LIABILITIES
Equity
Share capital 140.000.000 140.000.000
Reserves 133.964.042 126.959.646
Total equity 273.964.042 266.959.646
Long-term liabilities
Long-term loans 8.468.516 7.316.612
Total long-term liabilities 8.468.516 7.316.612
Current liabilities
Bank overdrafts 2.524.786 -
Current instalments of long-term loans 1.837.493 1.841.226
Provision for losses of affiliates 2.491.527 2.497.365
Trade and other creditors 944.606 829.644
Total current liabilities 7.798.412 5.168.235
Total equity and liabilities 290.230.970 279.444.493
Net asset per share - cents 136.98 133.48

INTERIM CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS for the period 1 January 2021 to 30 September 2021

Nine months ended 30
September
2021 2020
Cash flow from operating activities
Profit before taxation 7.270.194 6.423.346
Adjustment for:
Depreciation of intangible fixed assets 48.447 70.151
Loss/(profit) from disposal and revaluation of financial assets at fair price
through profit and loss (2.486.839) 1.990.270
Loss from sale of fixed assets - 1.970
Provision / (reversal of provision) for share in loss from affiliates (5.838) 59.927
Share in profit from affiliates (4.411.890) (8.403.579)
Reversal of expected credit losses - (10.363)
Interest of loans payable 195.785 243.617
Net cash flow before changes in working capital 609.859 375.339
Increase in inventories of immovable property (160.649) (31.514)
(Increase) / decrease in other receivables 7.202 (13.980)
Net purchases and sales of financial assets at fair value through profit and
loss 102.115 131
Increase in receivables from affiliates (152.340) (150.261)
Decrease in bank deposits - 844.395
Increase in trade and other creditors 114.962 102.166
Purchase of immovable property for investment (32.300) (673.596)
Cash from operating activities 488.849 452.680
Tax paid (17.477) (19.616)
Net cash from operating activities 471.372 433.064
Cash flow from investing activities
Purchase of intangible fixed assets (1.379) (20.477)
Net cash flow for investing activities (1.379) (20.477)
Cash flow from financing activities
Proceeds from new loans 2.982.090 -
Repayment of loans (2.029.704) (1.532.942)
Net cash (for) / from financing activities 952.386 (1.532.942)
Net increase /(decrease) in cash and cash equivalents 1.422.379 (1.120.355)
Cash and cash equivalents at beginning of period 962.572 2.537.297
Cash and cash equivalents at end of period 2.384.951 1.416.942

INTERIM CONDENSED CONSOLIDATED STATEMENT OF CHANGES IN EQUITY for the period 1 January 2021 to 30 September 2021

Share
capital
Exchange
difference
reserve
Negative
goodwill
reserve
(Accumulated
Loss)/
Accumulated
Profit
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 period
after taxation
- - - 6.395.904 6.395.904
Other total cost for the period - - - (588.280) (588.280)
Other transactions with shareholders - - - (2.521) (2.521)
Balance as at
30 September 2020
140.000.000 319.437 119.850.066 3.303.657 263.473.160
Balance as at
1 January 2021
140.000.000 319.437 119.850.066 6.790.143 266.959.646
Net profit for the period
after taxation
- - - 7.251.264 7.251.264
Other total cost for the period - - - (592.062) (592.062)
Other transactions with shareholders - - - 345.194 345.194
Balance as at
30 September 2021
140.000.000 319.437 119.850.066 13.794.539 273.964.042

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