Earnings Release • Sep 27, 2017
Earnings Release
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| 30 June 2017 € |
30 June 2016 € |
|
|---|---|---|
| Sales | ||
| Cost of sales | 25,680,417 | 23,532,038 |
| (21,971,593) | (20,356,324) | |
| Gross profit | 3,708,824 | 3,175,714 |
| Other income | - | 9,020 |
| Administrative expenses | (3,650,363) | (3,273,305) |
| Profit / (loss) from operations | 58,461 | (88,571) |
| Finance costs – net |
(351,624) | (367,986) |
| Share of profit of associated companies | 561,174 | 20,279 |
| Profit / (loss) before taxation | 268,011 | (436,278) |
| Taxation | -- | -- |
| Group profit / (loss) before minority interest | 268,011 | (436,278) |
| Attributable to: | ||
| Company shareholders | 147,814 | (448,446) |
| Minority interest | 120,197 | 12,168 |
| 268,011 | (436,278) | |
| Earnings / (loss) per share (cents): | Cents | cents |
| Basic | 0.38 | (1.16) |
| Fully diluted | 0.38 | (1.16) |
| 30 June | 31 December | |
|---|---|---|
| 2017 | 2016 | |
| € | € | |
| ASSETS | ||
| Non-current assets | ||
| Property, plant and equipment | 12,161,826 | 12,447,023 |
| Intangible assets | 1,239,008 | 1,204,856 |
| Investments in associated company | 2,150,422 | 1,575,408 |
| Financial assets available for sale | 493,840 | 493,840 |
| 16,045,096 | 15,721,127 | |
| Current assets | ||
| Stocks | 17,560 | 18,242 |
| Trade and other receivables | 17,511,988 | 16,555,752 |
| Cash and cash equivalents | 6,873,296 | 9,085,892 |
| 24,402,844 | 25,659,886 | |
| Total assets | 40,447,940 | 41,381,013 |
| LIABILITIES AND SHAREHOLDER INTEREST | ||
| Non-current liabilities | ||
| Borrowings | 4,868,339 | 5,290,456 |
| Deferred tax liabilities | 843,171 | 843,171 |
| Liabilities of associated company | 362,343 | 348,503 |
| 6,073,853 | 6,482,130 | |
| Current liabilities | ||
| Trade and other creditors | 12,661,569 | 15,857,498 |
| Current tax liabilities | 391,442 | 391,442 |
| Borrowings / overdrafts |
9,309,364 | 7,059,782 |
| 22,362,375 | 23,308,722 | |
| Total liabilities | 28,436,228 | 29,790,852 |
| Capital and reserves | ||
| Share capital | 6,587,540 | 6,587,540 |
| Difference from conversion of capital into Euro | 33,332 | 33,332 |
| Other reserves | (48,654) | (163,815) |
| Retained earnings | 2,534,290 | 2,386,476 |
| 9,106,508 | 8,843,533 | |
| Minority interest | 2,905,204 | 2,746,628 |
| 12,011,712 | 11,590,161 | |
| Total equity and liabilities | 40,447,940 | 41,381,013 |
| Share capital |
Difference from conversion of capital into Euro |
Other reserves |
Earnings retained |
Minority interest |
Total | |
|---|---|---|---|---|---|---|
| € | € | € | € | € | € | |
| As at 1 January 2016 | 6,587,540 | 33,332 | 191,281 | 2,956,554 | 3,233,330 | 13,002,037 |
| 6,587,540 | 33,332 | 191,281 | 2,956,554 | 3,233,330 | 13,002,037 | |
| Net profit/loss | (448,446) | 12,168 | (436,278) | |||
| Exchange difference / profit recognised in equity |
(435,572) | (144,924) | (580,496) | |||
| Dividend paid to minority interest from subsidiary company |
(26,400) | (26,400) | ||||
| As at 30 June 2016 | 6,587,540 | 33,332 | (244,291) | 2,508,108 | 3,074,174 | 11,958,863 |
| As at 1 January 2017 | 6,587,540 | 33,332 | (163,815) | 2,386,476 | 2,746,628 | 11,590,161 |
| Fair value loss Investments |
||||||
| 6,587,540 | 33,332 | (163,815) | 2,386,476 | 2,746,628 | 11,590,161 | |
| Net profit | 147,814 | 120,197 | 268,011 | |||
| Exchange difference / profit recognised in equity |
115,161 | 38,379 | 153,540 | |||
| Dividend paid to minority interest from subsidiary company |
||||||
| As at 30 June 2017 | 6,587,540 | 33,332 | (48,654) | 2,534,290 | 2,905,204 | 12,011,712 |
| 30 June 2017 | 30 June 2016 | |
|---|---|---|
| € | € | |
| CASH FLOW FROM OPERATING ACTIVITIES | ||
| Profit / Loss before taxation | 268,011 | (436,278) |
| Adjustments for: | ||
| Depreciation of intangible and fixed assets | 571,407 | 473,632 |
| Debit interest | 452,334 | 553,066 |
| Credit interest | (100,710) | (185,080) |
| Share of gain in associated company | (561,174) | -- |
| Unrealised exchange difference | (210,130) | (175,450) |
| Operating profit before changes in working capital | 419,738 | 229,890 |
| Changes in working capital: | ||
| -Debtors | 456,236 | 956,633 |
| -Creditors | (3,910,634) | 918,514 |
| -Stocks | 682 | (7,398) |
| Cash flow in /from operating activities |
(3,033,978) | 2,097,639 |
| Tax paid | -- | -- |
| Net cash flow in / from operating activities |
(3,033,978) | 2,097,639 |
| CASH FLOW IN INVESTING ACTIVITIES | ||
| Purchase of fixed assets | (261,935) | (615,517) |
| Proceeds from sale of property, plant and equipment | -- | 1,011 |
| Purchase of intangible assets | (58,967) | (105,917) |
| Interest received | 100,710 | 185,080 |
| Net cash flow in investing activities | (220,192) | (535,343) |
| CASH FLOW IN FINANCING ACTIVITIES | ||
| Repayment of loans | (861,226) | (292,800) |
| Interest paid | (452,334) | (553,066) |
| Net cash flow in financing activities | (1,313,560) | (845,866) |
| Net decrease/increase in cash and cash equivalents |
(4,567,730) | 716,430 |
| Cash and cash equivalents at beginning of period | 3,348,512 | (492,124) |
| Cash and cash equivalents at end of period | (1,219,218) | 224,306 |
| Bank balances and cash in hand | 6,873,296) | 7,100,160 |
| Bank overdrafts | (8,092,514) | (6,875,854) |
| (1,219,218) | 224,306 |
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