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Ch. Charilaou Group Plc

Annual / Quarterly Financial Statement Aug 3, 2020

2453_rns_2020-08-03_e1b910df-2308-4268-af7d-2a624df68134.pdf

Annual / Quarterly Financial Statement

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CH. CHARILAOU GROUP PLC CONSOLIDATED STATEMENT OF PROFIT AND LOSS AND OTHER TOTAL INCOME As at 31 December 2019

2019 2018
Income 1,734,674 1,881,883
Cost of sales (1,067,689) (1,253,198)
Gross profit 666,985 628,685
Other operating income 28,240 5,307
Distribution and sales costs (139,366) (334,014)
Administrative expense (396,116) (415,123)
Other costs - (502)
Operating results 159,743 (115,647)
Net finance costs (2,059) (3,223)
Results
/ (loss) before taxation
157,684 (118,870)
Taxation (27,319) (9,559)
Net profit
/ (loss) for the year
130,365 (128,429)
Profit / (loss)
per share attributed to the shareholders of
the parent company (cents) 0.06 (0.06)

CH. CHARILAOU GROUP PLC CONSOLIDATED STATEMENT OF FINANCIAL POSITION 31 December 2019

2019 2018
ASSETS
Non-current assets
Property, plant and equipment 74,388 91,957
Assets with a right of use 97,406 -
Intangible assets 438,584 435,353
610,378 527,310
Current assets
Stocks 444,726 397,113
Trade and other receivables 117,322 278,469
Financial assets at fair value through profit and loss 4,087 4,087
Tax receivable 22,052 23,593
Cash at bank and in hand 825,690 689,949
1,413,877 1,393,211
Total assets 2,024,255 1,920,521
EQUITY AND LIABILITIES
Equity
Share capital 362,430 362,430
Accumulated profits 1,434,318 1,316,567
Total equity 1,796,748 1,678,997
Non-current
liabilities
Trade and other creditors 227,507 240,476
Borrowings - 1,048
227,507 241,524
Total equity and liabilities 2,024,255 1,920,521

CH. CHARILAOU GROUP PLC CONSOLIDATED STATEMENT OF CHANGES IN ΝΕΤ POSITION 31 December 2019

Accumulated
Share capital profits Total
Balance as at
1 January 2108
362.430 1.460.588 1.823.018
Total income - (128.429) (128.429)
Net loss for the year
Transactions with shareholders
Defence contribution to deemed dividend
distribution - (15.592) (15.592)
Balance as at 31 December 2018/1 January
2019
362.430 1.316.567 1.678.997
Total income
Net profit
for the year
- 130.365 130.365
Transactions with shareholders
Defence contribution to deemed dividend
distribution - (12.614) (12.614)
Balance as at 31 December 2019 362.430 1.434.318 1.796.748

CH. CHARILAOU GROUP PLC CONSOLIDATED STATEMENT OF CASH FLOWS 31 December 2019

2019 2018
CASH FLOW FROM OPERATING ACTIVITIES
Results / (loss)
before taxation
157,684 (118,870)
Adjustments for:
Depreciation of property, plant and equipment 32,340 26,538
Depreciation of computer programmes 1,613 -
Losses of fair value in financial assets
at fair value through profit
and loss - 502
Credit interest (928) (1,089)
Debit interest 532 1,793
191,241 (91,126)
Changes in working capital
Increase
in stocks
(47,613) (53,813)
Decrease in
amounts receivable
57,747 230,483
Decrease
in trade and other creditors
(12,969) (47,731)
Cash from operating activities 188,406 37,813
Tax paid (25,778) (34,311)
Net cash flow from operating activities 162,628 3,502
CASH FLOW FROM INVESTING ACTIVITIES
Payment
for the purchase of intangible assets
(4,844) -
Payment for the purchase of property, plant and equipment (8,777) (64,186)
Interest received 928 1,089
Net cash flow for investing activities (12,693) (63,097)
CASH FLOW FROM FINANCING ACTIVITIES
Repayment of loans (1,048) (17,455)
Payment of interest (532) (1,793)
Payment of contribution for defence
to deemed dividend
distribution (12,614) -
Net cash from financing activities (14,194) (19,248)
Net (decrease)/increase
in cash and cash equivalents
135,741 (78,843)
Cash and cash equivalents
at beginning of year
689,949 768,792
Cash and
cash equivalents at end of year
825,690 689,949

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