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Demetra Holdings Plc

Earnings Release Nov 8, 2018

2462_10-q_2018-11-08_ec85aa3d-c9ea-4239-a7d8-f7dcfe49cfc2.pdf

Earnings Release

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INTERIM CONDENSED CONSOLIDATED STATEMENT OF PROFIT AND LOSS AND OTHER COMPREHENSIVE INCOME for the period 1 January 2018 to 30 September 2018

Nine months ended 30 September
2018 2017
Income
Dividends receivable 495.036 418.877
Interest receivable and other finance income 247.233 791.224
Profit from the sale. revaluation and exploitation of land and immovables 864.439 778.044
Profit from financial assets 3.382.416 5.807.273
4.989.124 7.795.418
Operating expenses (1.122.800) (1.087.989)
Finance cost (127.085) (25.904)
Reversal of provision / (provision) for share in loss from affiliates
Profit before taxation
47.107
3.786.346
(97.851)
6.583.674
Taxation (29.266) 22.150
Net profit for the period 3.757.080 6.605.824
Other comprehensive expenses
Amounts to be classified in the consolidated profit or loss account in future
periods
Profit from revaluation of investments available for sale - 15.323
Profit from revaluation of investments at fair value through other
comprehensive income 8.531 -
Total income for the period 3.765.611 6.621.147
Net profit attributable to:

Shareholders of the Company 3.757.080 6.605.824 Profit per share - cent 1.88 3.30

INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION as at 30 September 2018

30 September 31 December
2018 2017
ASSETS
Non-current assets
Intangible fixed assets 1.401.774 1.508.866
Immovable property for investment 31.757.046 31.335.267
Financial assets available for sale - 291.469
Receivables from affiliates 11.233.279 11.066.713
Deferred taxation 1.151.662 1.151.662
Total non-current assets 45.612.488 45.353.977
Current assets
Inventories 7.774.917 7.737.324
Loans and other receivables 191.857 159.773
Financial assets at fair value through profit and loss 29.197.763 61.517.514
Bank deposits 11.638.225 5.483.890
Cash and cash equivalents 30.752.700 1.222.815
Current tax claims 73.919 175.823
Total current assets 79.629.381 76.297.139
Total assets 125.241.869 121.651.116
NET POSITION AND LIABILITIES
Equity
Share capital 140.000.000 140.000.000
Reserves (17.861.395) (21.627.006)
Total equity 122.138.605 118.372.994
Current liabilities
Provision for losses of affiliates 2.589.161 2.636.268
Trade and other creditors 514.103 614.854
Total current liabilities 3.103.264 3.278.122
Total equity and liabilities 125.241.869 121.651.116
Net asset per share - cent 61.07 59.19

INTERIM CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS for the period 1 January 2018 to 30 September 2018

Nine months ended 30 September
2018 2017
Cash flow from operating activities
Profit before taxation 3.786.346 6.583.674
Adjustment for:
Depreciation of intangible fixed assets 68.728 70.368
Profit from disposal and revaluation of financial assets at fair price through
profit and loss (3.382.416) (5.807.273)
(Reversal of provision) / provision for share in loss from affiliates (47.107) 97.851
Net cash flow before changes in working capital 425.551 944.620
Increase in inventories (37.593) -
(Increase) / decrease in loans and other receivables (32.084) 193.763
Net purchases and sales of financial assets at fair value through profit and
loss 35.702.167 67.030
Increase in receivables from affiliates (166.566) (314.401)
Increase in bank deposits (6.154.335) (418.855)
Decrease in trade and other creditors (127.751) (201.857)
Cash from operating activities 29.609.389 270.300
Tax received / (paid) 72.638 (10.109)
Net cash from operating activities 29.682.027 260.191
Cash flow from investing activities
Purchase of intangible fixed assets (30.363) (17.777)
Proceeds from financial assets at fair value through other comprehensive
income 300.000 -
Purchase of immovable property for investment (421.779) (89.966)
Net cash for investing activities (152.142) (107.743)
Net increase in cash and cash equivalents 29.529.885 152.448
Cash and cash equivalents at beginning of period 1.222.815 975.465
Cash and cash equivalents at end of period 30.752.700 1.127.913

INTERIM CONDENSED CONSOLIDATED STATEMENT OF CHANGES IN EQUITY for the period 1 January 2018 to 30 September 2018

Share capital € Share capital conversion reserveExchange difference reserve € Investments available for sale reserve € Investment at fair value through other comprehensive income reserve € Accumulated Loss € Total equity € Balance as at 1 January 2017 140.000.000 860.144 319.437 (32.674) - (24.556.350) 116.590.557 Profit for the period - - - - - 6.605.824 6.605.824 Other total income for the period - - - 15.323 - - 15.323 Balance as at 30 September 2017 140.000.000 860.144 319.767 (17.351) - (17.950.526) 123.211.704 Balance as at 1 January 2018 140.000.000 860.144 319.767 (8.531) - (22.798.056) 118.372.994 Transfer between reserves - - - 8.531 (8.531) - - Profit for the period - - - - - 3.757.080 3.757.080 Other total income for the period - - - - 8.531 - 8.531 Balance as at 30 September 2018 140.000.000 860.144 319.437 - - (19.040.976) 122.138.605

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