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Demetra Holdings Plc

Quarterly Report Apr 15, 2020

2462_rns_2020-04-15_ce3c865f-5036-42fb-a5c4-fe68bd3fd1ac.pdf

Quarterly Report

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QUARTERLY REPORT – 31 MARCH 2020

IS
SU
/
ER
AS
SE
T
SE
CT
OR
MA
RK
ET
CA
GO
O
TE
RY
F
TI
TL
E
O
NU
MB
ER
F
TI
TL
ES
CU
RR
EN
T
VA
LU
E
TO
TA
L
CU
RR
EN
T V
AL
UE
%
OF
TO
TA
L
AS
SE
TS
%
1 llen
nk
blic
Ltd
He
ic
Ba
Pu
Co
mp
an
y
l
Fin
cia
an
rke
Ma
in
Ma
t
Sh
are
s
86
.72
72
5.7
72
.62
4.8
73
Co
e b
ds
rat
rpo
on
nd
ark
Bo
s M
et
Co
ibl
BC
S1
ert
uri
tie
s-H
nv
e s
ec
23
.44
1
.60
3
11
.63
75
6.4
76
52
33
%
,
2 in
nd
d P
Inv
est
nts
La
ert
me
an
rop
y
lop
De
nt
ve
me
nd
&
La
Pr
ert
op
y
lop
De
nt
ve
me
in
Cy
pru
s
-
N/A he
Ot
r in
stm
ts
ve
en
N/A 31
.57
0.2
72
in
Ro
nia
ma
-
N/A Ot
he
r in
stm
ts
ve
en
N/A 6.5
04
.88
0
in
Bu
lga
ria
-
N/A Ot
he
r in
stm
ts
ve
en
N/A 3.3
29
.00
0
41
.40
4.1
52
28
64
%
,
3 Inv
in
he
roj
est
nts
ot
ect
me
r p
s
Ot
he
roj
ect
r p
s
N/A Ot
he
r in
stm
ts
ve
en
N/A 13
.02
2.8
99
13
.02
2.8
99
9,
01
%
4 ico
blic
d
Log
Pu
Lt
m
ch
log
Te
no
y
in
rke
Ma
Ma
t
Sh
are
s
7.6
15
.93
7
7.0
82
.82
1
7.0
82
.82
1
90
%
4,
5 Lo
rdo
s H
ls
(
Ho
ldi
s)
Pu
blic
Lt
d
ote
ng
Co
rvi
ns
um
er
se
ces
Alt
ati
M
ark
et
ern
ve
Sh
are
s
5.6
04
.74
8
2.8
02
.37
4
2.8
02
.37
4
1,
94
%
6 nk
de
nd
sh
Ba
sit
po
s a
ca
N/A N/A N/A N/A 2,
34
9,
15
2
2,
34
9,
15
2
1,
63
%
7 NE
T I
nfo
Pl
c
Te
ch
log
no
y
Em
ing
Co
ies
erg
mp
an
Ma
rke
t
Sh
are
s
73
4.8
95
8
30
.43
1
83
0.4
31
0,
57
%
8 SF
S G
Pu
blic
Co
Ltd
rou
p
mp
an
y
Fin
an
ce
Alt
ati
M
ark
et
ern
ve
Sh
are
s
6.6
52
.00
0
11
3.0
84
11
3.0
84
0,
08
%
9 Ar
s L
da
Fu
nd
C
las
s B
Se
rie
s 1
gu
am
N/A N/A Mu
l F
d
tua
un
10
0
10
0.1
00
10
0.1
00
0.0
7%
10 t S
Plc
Erm
De
rtm
tor
es
pa
en
es
Co
rvi
ns
um
er
se
ces
Su
illa
ark
M
et
rve
nce
Sh
are
s
2.0
00
.00
0
85
.00
0
85
.00
0
0,
06
%
TO
TA
L
3.4
.49
0
14
26
3.4
.49
0
14
26
99
23
%
,

Total assets €144.544.112

Net asset value per share as at 31 March 2020: 0,6579 (Note 2)

The fully diluted asset value is not applicable.

The market value of listed investments was calculated based on the bid price as at 31 March 2020.

Note 1:The investment in Hellenic Bank is presented using the equity method. Given that the Company is still in the process or calculating its impact, the book value presented above is the stock market value of Hellenic as at 28 August 2019, date of acquisition of the major shareholding in Hellenic, and which is considered to be the cost for the initial application of the equity method. Note 2: The net asset value per share is calculated by dividing the net assets (31 March 2020: €131.576.883) by the number of issued shares (200.000.000 shares). The above calculation does not include the impact on the company's net asset value from the accounting treatment of the investment in Hellenic Bank using the equity method.

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