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G.A.P. Vassilopoulos Public Ltd

Annual / Quarterly Financial Statement Apr 30, 2018

2510_10-k_2018-04-30_a23830bf-aad1-49d6-be19-9db2aeb00af1.pdf

Annual / Quarterly Financial Statement

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Statement of profit and loss account for the year ended 31 December 2017

Group Company
2017
2016
2017 2016
Turnover 53.823.081 48.090.655 11.282.444 10.369.398
Cost of services (44.985.346) (39.785.943) (10.364.358) (9.584.951)
Gross profit 8.837.735 8.304.712 918.086 784.447
Other income 285.701 214.929 2.379.659 1.313.019
Administrative, selling and marketing expenses (9.343.124) (9.290.079) (2.645.026) (2.081.108)
Other profit/(loss)
-
net
(198.760) (2.400) (379.783) -
(Loss)/profit from operations (418.448) (772.838) 272.936 16.358
Finance income 222.350 390.537 354.920 589.633
Finance cost (684.088) (880.728) (547.178) (637.487)
Net exchange profit / (loss) (130.191) 46.035 36.298 108.359
Finance cost –
net
(591.929) (444.156) (155.960) 60.505
Share of net profit
in
associated companies
2.041.062 813.124 - -
(Loss) / profit before taxation 1.030.685 (403.870) 116.976 76.863
Taxation 133.086 (50.610) 3.529 (10)
Net (loss)/profit for the year 1.163.771 (454.480) 120.505 76.853
Attributable to:
Shareholders of the company 701.648 (594.835) 120.505 76.853
Minority interest 462.123 140.355 - -
1.163.771 (454.480) 120.505 76.853
Net profit / (loss) for the year
Profit / (loss)
per share attributable to the
shareholders
of the Company (cents):
Basic and fully diluted 1.81 (1.54)

Statement of total income for the year ended 31 December 2017

Group Company
2017 2016 2017 2016
(Loss)/profit for the year 1.163.771 (454.480) 120.505 76.853
Other total income /(losses)
Adjustment in deferred taxation (7.596) (55.819) 6.090 16.738
Adjustment at fair value of land and buildings - (329.209) - (89.809)
Exchange differences (292.035) (452.798) - -
Other total income /(losses)
for the year after
(299.631) (837.826) 6.090 (73.071)
taxation
Total income /(loss)
for the year
864.140 (1.292.306) 126.595 3.782
Attributable to:
Shareholders of the company 472.819 (925.174)
Minority interest 391.321 (367.132)
864.140 (1.292.306)

Balance sheet as at 31 December 2017

Group Company
2017 2016 2017 2016
ASSETS
Non-current assets
Property, plant and equipment 12.318.458 12.447.023 7.821.526 7.900.393
Intangible assets 986.344 1.204.856 191.057 386.832
Investments in subsidiaries - - 1.569.548 1.696.724
Investments in associated companies 2.472.926 1.575.408 1.710 1.710
Financial assets available for sale 493.124 493.840 4.074 4.074
16.270.852 15.721.127 9.587.915 9.989.733
Current assets
Stock 18.451 18.242 17.231 17.021
Trade and other receivables 12.141.779 11.039.736 2.164.646 2.016.590
Loans to related parties 4.503.187 5.516.016 12.946.049 12.579.580
Cash and deposits in bank 10.781.379 9.085.892 2.748.268 1.304.046
27.444.796 25.659.886 17.876.194 15.917.237
Total assets 43.715.648 41.381.013 27.464.109 25.906.970
Equity and Liabilities
Capital and reserves
Share capital 6.587.540 6.587.540 6.587.540 6.587.540
Difference from conversion of capital into Euro 33.332 33.332 33.332 33.332
Other reserves (416.127) (163.815) 833.293 849.619
Retained earnings 3.096.570 2.386.476 3.561.354 3.432.403
9.301.315 8.843.533 11.015.519 10.902.894
Minority interest 3.088.549 2.746.628 - -
Total equity 12.389.864 11.590.161 11.015.519 10.902.894
Non-current liabilities
Borrowings 6.662.103 5.290.456 2.899.321 2.422.268
Deferred tax liabilities 854.327 843.171 471.260 481.379
Liabilities of associated company 342.835 348.503 - -
7.859.265 6.482.130 3.370.581 2.903.647
Current liabilities
Trade and other creditors 15.810.049 15.486.159 3.468.185 3.092.663
Current tax liabilities 258.256 391.442 115.289 94.916
Borrowings 7.045.464 7.054.203 4.249.566 4.366.295
Borrowings from related parties 2.542 5.579 5.080.005 4.381.591
Provisions and other liabilities 350.208 371.339 164.964 164.964
23.466.519 23.308.722 13.078.009 12.100.429
Total liabilities 31.325.784 29.790.852 16.448.590 15.004.076
Total equity and liabilities 43.715.648 41.381.013 27.464.109 25.906.970

Statement of changes in equity for the year ended 31 December 2017

Group Attributable to the shareholders of the Company
Share
capital
Difference
from
conversion
of capital
into Euro
Other
reserves
Retained
earnings
Minority
interest
Total
Balance as at 1 January 2016 6.587.540 33.332 191.281 2.956.554 3.233.330 13.002.037
Total income - - - - - -
Loss
for the year
- - - (594.835) 140.355 (454.480)
Other total income/(loss)
Land and buildings:
Loss from revaluation –
after taxation
- - (329.209) - - (329.209)
Deferred taxation adjustment - - (55.819) - - (55.819)
Transfer of
depreciation –
after taxation
- - (24.757) 24.757 - -
Exchange difference in consolidation of subsidiaries - - 54.689 - (507.487) (452.798)
Total of other total (loss)/profit - - (355.096) 24.757 (507.487) (837.826)
Total (loss)/profit for the year - - (355.096) (570.078) (367.132) (1.292.306)
Transactions with owners
Dividend paid to
minority interest from subsidiary
- - - - (119.570) (119.570)
Total transactions with owners - - - - (119.570) (119.570)
Balance as at 31 December 2016 6.587.540 33.332 (163.815) 2.386.476 2.746.628 11.590.161

Statement of changes in equity for the year ended 31 December 2017

Group Attributable to the shareholders of the Company
Share
capital
Difference
from
conversion
Other
reserves
Retained
earnings
Minority
interest
Total
of capital
into Euro
Balance as at 31 December 2016 / 1 January 2017 6.587.540 33.332 (163.815) 2.386.476 2.746.628 11.590.161
Total income - - - 701.648 462.123 1.163.771
Profit for the year
Other total income/(loss)
Deferred taxation adjustment - - (7.596) - - (7.596)
Exchange difference in consolidation of subsidiaries - - (221.833) - (70.202) (292.035)
Total of other total (loss)/profit - - (229.429) - (70.202) (299.631)
Total (loss)/profit for 2017 - - (229.429) 701.648 391.921 864.140
Transactions with owners
Dividend paid in minority interest from subsidiary - - - - (50.000) (50.000)
Transfer of depreciations –
after taxation
- - (22.883) 22.883 - -
Defence contribution to deemed distribution of
dividend - - (14.437) - (14.437)
Total transactions with owners - - (22.883) 8.446 (50.000) (64.437)
Balance as at 31 December 2017 6.587.540 33.332 (416.127) 3.096.570 3.088.549 12.389.864

Statement of cash flows for the year ended 31 December 2017

Group Company
2017 2016 2017 2016
CASH FLOW FROM OPERATIONS
Profit/(loss) before taxation
Adjustments for:
1.030.685 (403.870) 116.976 76.863
Depreciation of property, plant and equipment 847.454 1.013.341 328.829 324.942
Depreciation of intangible assets 130.992 156.640 72.550 82.148
Share of profit in associated company (2.041.062) (813.124) - -
Loss from sale of property, plant and equipment
Charge for impairment in the value of investment in
(5.296) 2.400 - -
subsidiaries
Charge for impairment in the value of intangible
- - 175.727 -
assets 204.056 - 204.056 -
Provision of impairment of doubtful receivables 464.129 218.917 186.855 38.328
Credit dividends from subsidiaries - - (1.723.061) (896.111)
Credit interest (222.350) (390.537) (354.920) (589.633)
Debit interest 684.088 880.728 547.155 637.487
Impairment in the value of share titles 716 9.534 - 262
Reversal of provision - net (21.131) (32.743) - -
1.072.281 641.286 (445.833) (325.714)
Changes in working capital:
Stock (209) (1.176) (209) (1.175)
Trade and other receivables (511.815) (363.672) 83.955 60.408
Trade and other creditors (8.183) 2.443.711 375.621 (273.563)
Cash from operations 552.074 2.720.149 13.534 (540.044)
Tax paid (100) (10) - (10)
Net cash from operations 551.974 2.720.139 13.534 (540.054)
CASH FLOW FROM INVESTING ACTIVITIES
Purchase of intangible assets (116.536) (121.782) (80.831) (54.411)
Purchase of property, plant and equipment (723.425) (1.061.628) (249.962) (215.004)
Purchase of investments in subsidiaries - - (48.551) (2.000)
Loans granted to related parties (68.661) (529.521) (1.405.090) (2.636.221)
Proceeds from repayments of loans from related
parties 206.527 2.248.145 980.398 2.951.563
Proceeds from sale of property, plant and
equipment 6.919 11.334 - -
Interest received 3.090 6.389 80 388
Dividends received - - 1.723.061 896.111
Net cash flow (for) / from investing activities (692.086) 552.937 919.105 940.426

Statement of cash flows for the year ended 31 December 2017

Group Company
2017
2016
2017 2016
CASH FLOW FROM FINANCING ACTIVITIES
Borrowing repaid by related parties (3.037) (230.234) (367.476) (439.948)
Payments of bank borrowing and finance leases (3.881.489) (1.146.393) (2.992.418) (531.781)
Proceeds from bank borrowing and finance leases 5.215.748 2.710.600 3.585.000 125.000
Interest paid (678.829) (847.708) (399.152) (488.917)
Dividends paid to minority interest (50.000) (119.570) - -
Dividends received from associated company 1.137.976 269.500 - -
Loans granted from related parties - 5.579 917.887 2.795.194
Net cash from financing activities 1.740.369 641.774 743.841 1.459.548
Net increase in cash and cash equivalents 1.600.257 3.914.850 1.676.480 (1.859.919)
Cash and cash equivalents at beginning of year 3.348.512 (492.124) (2.700.837) (4.560.756)
Impact of changes in exchange rates in cash and cash
equivalents 66.581 (74.214) - -
Cash and cash equivalents and bank overdrafts at
end of year 5.015.350 3.348.512 (1.024.357) (2.700.837)

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