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Interfund Investments PLC

Annual / Quarterly Financial Statement Jun 12, 2020

2469_10-k_2020-06-12_d235cc68-296f-426f-83ea-12ed5ff4f752.pdf

Annual / Quarterly Financial Statement

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STATEMENT OF TOTAL INCOME for the year ended 31 December 2019

2019
2018
Income 408.707 (757.150)
Profit from investing activities 371 -
Administrative expenses (319.796) (345.445)
Profit/(Loss) from operations 89.282 (1.102.595)
Finance income
Finance costs
425.289
(3.667)
-
(334.801)
Profit / (Loss) before taxation 510.904 (1.437.396)
Taxation
Net profit /(loss) for the year
(1.772)
509.132
(102.371)
(1.539.767)
Other total income - -
Total income for the year 509.132 (1.539.767)
Profit / (loss) per share attributed to shareholders of the Company (cents) 0.90 (2.72)

INTERFUND INVESTMENT PLC

STATEMENT OF FINANCIAL POSITION for the year ended 31 December 2019

2019
2018
ASSETS
Current assets
Other amounts receivable - 4.454
Financial assets at fair value through profit and loss 1.407.819 4.489.046
Cash at bank and in hand 7.940.532 4.516.803
9.348.351 9.010.303
Total assets 9.348.351 9.010.303
EQUITY AND LIABILITIES
Equity
Share capital 7.350.837 7.350.837
Share premium reserve 2.495.574 2.495.574
Accumulated losses (741.111) (1.250.243)
Total equity 9.105.300 8.596.168
Current liabilities
Trade and other creditors 165.508 336.592
Current tax liabilities 77.543 77.543
243.051 414.135
Total equities and liabilities 9.348.351 9.010.303

-

INTERFUND INVESTMENT PLC

STATEMENT OF CHANGES IN NET POSITION for the year ended 31 December 2019

Share Accumulated
Share capital Premium profits /(losses) Total
Reserve
Balance as at 1 January
2018 7.350.837 2.495.574 289.524 10.135.935
Total income
Net loss for the year - - (1.539.767) (1.539.767)
Total income for the year - - (1.539.767) (1.539.767)
Balance as at 31
December 2018/1
January 2019 7.350.837 2.495.574 (1.250.243) 8.596.168
Total income
Net profit for the year - - 509.132 509.132
Total income for the year - - 509.132 509.132
Balance as at 31
December 2019 7.350.837 2.495.574 (741.111) 9.105.300

INTERFUND INVESTMENT PLC

STATEMENT OF CASH FLOWS for the year ended 31 December 2019

2019 2018
CASH FLOW FROM OPERATING ACTIVITIES
Profit / (loss) before taxation 510.904 (1.437.396)
Adjustments for:
Credit dividends (46.879) (242.361)
Credit interest (17.087) (3.840)
446.938 (1.683.597)
Changes in working capital
Decrease/(increase) in other amounts receivables 4.454 (4.454)
Decrease in financial assets at fair value through profit and loss 3.081.227 4.029.138
Increase in fixed-term deposits (302.061) (550.799)
(Decrease)/increase in trade and other creditors (171.084) 336.592
Cash from operations 3.059.474 2.126.880
Collection of interest 17.087 3.840
Collection of dividends 46.879 242.361
Tax paid (1.772) (24.828)
Net cash from operations 3.121.668 2.348.253
CASH FLOW FROM INVESTING ACTIVITIES - -
CASH FLOW FROM FINANCING ACTIVITIES - -
Net increase in cash and cash equivalents 3.121.668 2.348.253
Cash and cash equivalents at beginning of year 3.966.004 1.617.751
Cash and cash equivalents at end of year 7.087.672 3.966.004

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