AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

Display Art PLC

Interim / Quarterly Report Aug 30, 2016

2463_ir_2016-08-30_62cb3e52-5ed6-43e8-a66d-1eccb584e9ad.pdf

Interim / Quarterly Report

Open in Viewer

Opens in native device viewer

Condensed consolidated interim statement of profit and loss account for the period from 1 January to 30 June 2016

2016 Six months ended 30 June
2015
Income
Cost of sales
358.300
(331.439)
409.409
(323.999)
Gross profit 26.861 85.410
Other income 7.386 63
Distribution and sales expenses (44.204) (42.868)
Administrative expenses (119.174) (119.804)
Operating loss (129.131) (77.199)
Finance income - -
Finance costs (64.401) (78.295)
Net finance costs (64.401) (78.295)
Loss before taxation (193.532) (155.494)
Taxation 8.747 (880)
Net loss for the period (184.785)
=========
(156.374)
=========
Net loss attributable to:
Company shareholders
Minority interest
(184.785)
-
(156.374)
-
(184.785) (156.374)
======== ========
Loss per share:
Basic loss per share (cents) (1,37) (1,16)
Fully diluted loss per share (cents) =========
(1,37)
=========
(1,16)
========= =========

Condensed consolidated interim statement of comprehensive income for the period from 1 January to 30 June 2016

Six months ended 30 June
2016 2015
Net loss for the period (184.785) (156.374)
Other comprehensive income for the period
Deferred taxation on revaluation of land and
buildings (531) 4.085
Comprehensive income for the period after
taxation (185.316) (152.289)
======== ========

Condensed consolidated interim statement of financial position

as at 30 June 2016

Assets 30
June
2016
31
December
2015
Non-current assets
Property, plant and equipment
4.244.500 4.382.007
Financial assets available
for sale
21.580 21.580
4.266.080 4.403.587
Current assets
Inventories
Trade and other receivables
Financial assets
673.009
548.092
673.009
521.604
at fair value
through profit and loss
Cash and cash equivalents
286
2.108
286
10.054
1.223.495 1.204.953
Total assets 5.489.575
=========
5.608.540
=========
Equity and liabilities
Capital and reserves
Share capital
Share premium reserve
Difference from conversion of share capital
4.592.196
98.673
4.592.196
98.673
into euro
Revaluation reserve
Annuity reserve
23.235
2.679.204
(6.096.421)
23.235
2.679.735
(5.911.636)
Equity attributable to company
shareholders
1.296.887 1.482.203
Non-current liabilities
Borrowings
Deferred tax liabilities
1.160.158
526.007
1.686.165
237.996
534.384
772.380
Short-term liabilities
Trade and other creditors
Current tax liabilities
Borrowings
1.425.184
653
1.080.686
2.506.523
1.386.810
653
1.966.494
3.353.957
Total liabilities 4.192.688 4.126.337
Total equity and liabilities 5.489.575
=========
5.608.540
=========

Condensed consolidated interim statement of changes in equity for the period from 1 January to 30 June 2016

Share
capital
Share
premium
reserve
Difference
from
conversion
of share
capital into €
Revaluation
reserves
Annuity
reserve
Total
Balance 1
January 2015
4.592.196 98.673 23.235 2.633.582 (4.821.222) 2.526.464
Comprehensive
income for the
period after taxation
- - - 4.085 (156.374) (152.289)
Balance as at
30 June 2015
4.592.196
========
98.673
========
23.235
========
2.637.667
=========
(4.977.596)
=========
2.374.175
========
Share
capital
Share
premium
reserve
Difference
from
conversion
of share
capital into €
Revaluation
reserves
Annuity
reserve
Total
Balance 1
January 2016
4.592.196 98.673 23.235 2.679.735 (5.911.636) 1.482.203
Comprehensive
income for the
period after taxation
- - - (531) (184.785) (185.316)
Balance as at
30 June 2016
4.592.196
========
98.673
========
23.235
========
2.679.204
=========
(6.096.421)
=========
1.296.887
========

Condensed interim statements of cash flows for the period from 1 January to 30 June 2016

Six months ended 30 June
2016
2015
Cash flow from operations
Loss for the period
Adjustments for:
(184.785) (156.374)
Depreciation of property, plant and
equipment 146.502 121.160
Interest expenses 51.377 67.608
Taxation (8.747) 880
Profit from operations before changes in
working capital 4.347 33.274
Changes in working capital:
Inventories - 741
Trade and other receivables (26.488) (505)
Trade and other creditors 38.374 (15.766)
Net cash from operations 16.233 17.744
Tax paid (161) (475)
Net cash from operations 16.072 17.269
Cash flow from investing activities
Purchase of property, plant and equipment
(8.995) (1.763)
Net cash for investing activities (8.995) (1.763)
Cash flow from financing activities
Net changes in long-term borrowings 522.421 21.920
Interest paid (51.377) (67.608)
Net cash from /
(for)
financing
activities
471.044 (45.688)
Net increase
/
(decrease) in cash
and bank overdrafts
Cash
and
bank
overdrafts
at
beginning
478.121 (30.182)
of period (1.491.611) (1.440.851)
Cash and bank overdrafts at end
of period
(1.013.490)
========
(1.471.033)
========

Talk to a Data Expert

Have a question? We'll get back to you promptly.