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CLR Investment Fund Public LTD

Interim / Quarterly Report Jul 28, 2015

2456_ir_2015-07-28_5f6c0116-6885-4cc3-817c-6dc147e07785.pdf

Interim / Quarterly Report

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Condensed Interim Consolidated Income Statement for the period 1 January to 30 June 2015

01/01/2015-
30/06/2015
2015
01/01/2014-
30/06/2014
2014
Note
Income
Credit Interest
- -
Other income - -
--------------- ---------------
- -
Expenses
Loss from financial assets at fair value
through profit and loss 3 (118,354) (275,595)
Reduction in value of loans and receivables (2) (16)
Administrative expenses (54,543)
---------------
(71,214)
---------------
Loss from operating activities (172,899) (346,825)
Finance cost (22,105) (23,690)
Profit from the sale of subsidiary company 4 - 83,174
Loss before taxation ---------------
(195,004)
---------------
(287,341)
Taxation (77,727) -
--------------- ---------------
Net loss for the period (272,731)
---------------
(287,341)
-------------
Other total income
Other total income for the period after taxation - -
Total loss for the period ---------------
(272,731)
-------------
(287,341)
--------------- -------------
Net loss for the period corresponding to:
Company's shareholders
(272,731) (283,491)
Minority interest - (3,850)
--------------- ------------
(272,731)
---------------
(287,341)
------------
Loss for the period per share attributable to the
Company's shareholders: 2
- basic and adjusted (€ cent) (0.09) (0.10)
--------------- -----------

CLR INVESTMENT FUND PUBLIC LIMITED

Condensed Interim Consolidated Statement of Financial Position as at 30 June 2015

30 June
2015
31 December
2014
Assets Note
Investment in associated companies 5 1 1
Financial assets at fair value
through profit and loss
Other loans and receivables
Tax refundable
Cash and cash equivalents
6
7
3,868,421
4,639,358
128,109
393,498
3,998,580
4,639,359
128,109
436,206
Total assets ---------------
9,029,387
---------------
---------------
9,202,255
---------------
Equity and Liabilities
Capital and reserves
Share capital
Accumulated loss
8 8,644,229
(6,928,399)
---------------
8,644,229
(6,655,668)
Total equity 1,715,830
---------------
---------------
1,988,561
---------------
Liabilities
Borrowing
Trading and other creditors
Current tax liabilities
9
10
794,805
58,403
6,460,349
---------------
772,590
58,482
6,382,622
---------------
Total liabilities 7,313,557
---------------
7,213,694
---------------
Total Equity and Liabilities 9,029,387
---------------
9,202,255
---------------

CLR INVESTMENT FUND PUBLIC LIMITED

Condensed Interim Consolidated Statement of Changes in Equity for the period 1 January to 30 June 2015

Share
capital
Accumulated
Loss
Total
Minority
Interest
Total
Balance at
1 January 2015
8,664,229 (6,655,668) 1,988,561 - 1,988,561
Total loss for the
period:
Loss for the
period
--------------
-
--------------
------------------
(272,731)
------------------
--------------
(272,731)
---------------
--------------
-
---------------
-------------
(272,731)
--------------
Total loss for
the period
-
--------------
(272,731)
------------------
(272,731)
---------------
-
--------------
(272,731)
--------------
Transactions
with owners
-
--------------
-
-----------------
-
---------------
-
---------------
-
--------------
Balance at
30 June 2015
8,664,229
--------------
(6,928,399)
-----------------
1,715,830
-------------
-
---------------
1,715,830
--------------
Share
capital
Accumulated
Loss
Total
Minority
Interest
Total
Balance at
1 January 2014
8,664,229 (5,778,202) 2,866,027 225,569 3,091,596
Total loss for the
period:
Loss for the
period
--------------
-
--------------
------------------
(283,491)
------------------
--------------
(283,491)
---------------
--------------
(3,850)
---------------
-------------
(287,341)
--------------
Total loss for
the period
-
--------------
(283,491)
------------------
(283,491)
---------------
(3,850)
--------------
(287,341)
--------------
Transactions
with owners
Impact from sale
of holding in
subsidiary
company -
--------------
-
-----------------
-
---------------
(221,719)
---------------
(221,719)
--------------
Balance at - - - (221,719) (221,719)
30 June 2014 8,664,229
--------------
(6,061,693)
-----------------
2,582,536
-------------
-
---------------
2,582,536
--------------

Condensed Interim Consolidated Statement of Cash Flows for the period 1 January to 30 June 2015

01/01/2015-
30/06/2015
2015
01/01/2014-
30/06/2014
2014
Cash flow from operating activities before changes in
working capital
Changes in working capital:
(172,899) (346,825)
Financial assets at fair value through profit and loss
Other loans and receivables
Trading and other creditors
130,159
1
(79)
310,734
264
(4,231)
--------------- ---------------
Cash used for operating activities
Tax paid
Tax collected
(42,818)
-
-
(40,058)
-
-
Net cash flow for operating activities ---------------
(42,818)
---------------
---------------
(40,058)
---------------
Cash flow from investing
activities
Net proceeds from the sale of subsidiary company
Cash used from the sale of subsidiary company
-
-
443,652
(89,769)
Net cash from investing activities ---------------
-
---------------
---------------
353,883
---------------
Cash flow from financing
activities
Interest paid
(22,105) (23,690)
Net cash for financing activities ---------------
(22,105)
---------------
---------------
(23,690)
---------------
Net (decrease)/increase in cash and cash equivalents
Cash and cash equivalents at beginning of period
(64,923)
(336,384)
------------
290,135
(562,852)
------------
Cash and cash equivalents at end of period (401.307)
---------------
(272,717)
-----------
Cash and cash equivalents comprise:
Cash in hand and at bank
Bank Overdrafts
393,498
(794,805)
475,766
(748,483)
---------------
(401,307)
---------------
(272,717)
--------------- ---------------

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