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Salamis Tours (Holdings) Public LTD

Quarterly Report Aug 24, 2017

2490_ir_2017-08-24_2fc22b04-b6c7-4c46-a79e-b0dc90627469.pdf

Quarterly Report

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CONDENSED INTERIM CONSOLIDATED STATEMENT OF PROFIT AND LOSS ACCOUNT

30/06/2017
30/06/2016
Turnover 17.968.111 17.161.253
Cost of sales (13.985.484) (12.936.430)
Gross profit 3.982.627 4.224.823
Administrative expenses (2.144.827) (2.003.964)
Sales expenses (143.157) (139.606)
Depreciation (871.245) (924.938)
(3.159.229) (3.068.508)
Profit from operating activities 823.398 1.156.315
Other income 55.032 66.679
Net finance costs (572.400) (54.749)
Profit before taxation 306.030 1.168.245
Taxation (199.041) (102.274)
Net profit for the period 106.989 1.065.971
Allocated to:
Shareholders of the parent company 226.896 910.560
Minority interest (119.907) 155.411
106.989 1.065.971
cents cents
Basic and fully diluted earnings per share 0.62 2.49

CONDENSED INTERIM CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME

30/06/2017
30/06/2016
Net profit for the period 106.989 1.065.971
Other comprehensive income / (costs) 5.889 -
Comprehensive income for the period 112.878 1.065.971
Comprehensive income allocated to:
Shareholders of parent company 232.785 910.560
Minority interest (119.907) 155.411
112.878 1.065.971

CONDENSED INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION

ASSETS 30/06/2017
31/12/2016
Non-Current Assets
Property, vessels, plant and equipment 14.826.825 11.368.739
Financial assets
available for sale 2.157.964 2.152.075
Loan to an associated company 341.720 341.720
17.326.509 13.862.534
Current assets
Inventories 500.800 195.198
Trade and other receivables 3.723.215 8.951.914
Cash at bank and in hand 16.815.818 10.863.258
21.039.833 20.010.370
Total assets 38.366.342 33.872.904
EQUITY AND LIABILITIES
Capital and reserves
Share capital 15.707.529 15.707.529
Reserves 12.557.682 12.324.897
Equity attributable to the shareholders 28.265.211 28.032.426
Minority interest (56.790) 63.117
Total equity 28.208.421 28.095.543
Non short-term liabilities
Trade and other creditors 719.766 719.766
Deferred tax liabilities 809.863 807.863
1.529.629 1.529.629
Short-term liabilities
Trade and other creditors 7.681.617 4.134.752
Borrowings 719.783 68.799
Current tax liabilities 201.625 18.914
Dividend payable 25.267 25.267
8.628.292 4.247.732
Total liabilities 10.157.921 5.777.361
Total equity and liabilities 38.366.342 33.872.904

CONDENSED INTERIM CONSOLIDATED STATEMENT

OF CHANGES IN EQUITY

Share
capital
Issue of
shares at
a
premium
Fair
value
reserves
Accumulated
profits
Minority
interest
Total

Balance as at 1 January 2016 15.707.529 937.067 2.242.726 2.866.227 (39.230)
21.714.319
Changes in equity for the
period:
Dividends payable - - - (524.833) -
(524.833)
Comprehensive income
for the period
- - - 910.560 155.411
1.065.971
Balance as at 30 June 2016 15.707.529 937.067 2.242.726 3.251.954 116.181
22.255.457
Balance as at 1 January 2017 15.707.529 937.067 2.251.865 9.135.965 63.117
28.095.543
Changes in equity for the
period:
Revaluation of investments - - 5.889 -
-
Comprehensive income for the
period
- - - 226.896 (119.907)
106.989
Balance as at 30 June 2017 15.707.529 937.067 2.257.754 9.362.861 (56.790)
27.208.421

CONDENSED INTERIM CONSOLIDATED STATEMENT OF CASH FLOWS

30/06/2017
30/06/2016
Profit before taxation 306.030 1.168.245
Adjustments for:
Depreciation 871.245 924.938
Unrealised foreign exchange loss 165.134 15.919
Interest receivable (46.092) (33.225)
Interest payable 30.181 24.781
Gain on the sale
of fixed assets
(1.914) (18.749)
Cash flow before changes in working capital 1.324.584 2.081.909
(Increase) decrease in inventories (305.602) 38.247
Decrease (increase)
in trade and other debtors
5.228.699 (1.265.704)
Increase in trade and other creditors 3.546.865 3.087.884
Cash flow from operating activities before taxation 9.794.546 3.942.336
Taxation
Tax paid (16.330) (31.270)
Net cash flow from operating activities 9.778.216 3.911.066
Investing activities
Purchase of fixed assets 4.331.965 (177.600)
Purchase of financial assets - (325.000)
Proceeds from the disposal of fixed assets 4.548 20.049
Interest received 46.092 33.225
Cash flow for investing activities (4.281.325 (449.326)
Financing activities
Net loan payments - (250.000)
Interest paid (30.181) (24.781)
Payment of dividends - (610.344)
Cash flow for financing activities (30.181) (885.125)
Net inflow of cash 5.466.710 2.576.615
Cash and cash equivalents at beginning of period 10.794.459 7.942.423
Impact of changes in exchange rates on cash
and cash equivalents
165.134 (15.919)
Cash and cash equivalents at end of period 16.096.035 10.503.119

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