Investor Presentation • Aug 5, 2021
Investor Presentation
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| Financial highlights ……………………………………………………………………………………………………………………….……………………………………… |
Pag. 3 | |
|---|---|---|
| Companies consolidated with full consolidation method …………………………………………………………… |
Pag. 7 | |
| Estenergy …………………………………………………………………………………………………………………………………………………………………………………….… |
Pag. 17 | |
| Disclaimer …………………………………………………………….………………………………………………………………………………………………………………………… |
Pag. 19 |

Companies consolidated with full consolidation method
Estenergy

Ascopiave Group structure as of 30th June 2021 6M 2021 CONSOLIDATED RESULTS


Financial highlights

| (Thousand of Euro) |
6M 2021 |
6M 2020 |
Chg | Chg % |
|---|---|---|---|---|
| Revenues | 66.085 | 86.518 | (20.433) | -24% |
| (Purchase for other raw materials) costs |
(1.113) | (1.047) | (66) | +6% |
| (Costs for services) |
(19.529) | (18.376) | (1.154) | +6% |
| (Costs for personnel) |
(9.148) | (9.600) | 452 | -5% |
| (Other costs) management |
(5.222) | (27.917) | 22.696 | -81% |
| Other income |
511 | 27 | 484 | +1799% |
| EBITDA | 31.585 | 29.605 | 1.979 | +7% |
| (Amortizations and depreciation) |
(17.679) | (16.722) | (957) | +6% |
| EBIT | 13.872 | 12.883 | 989 | +8% |
| Financial income / (expenses) |
2.425 | 2.724 | (299) | -11% |
| (*) Evaluation of companies with equity method net |
14.258 | 9.341 | 4.917 | +53% |
| EBT | 30.555 | 24.948 | 5.607 | +22% |
| (Income taxes) |
(3.699) | (3.763) | 64 | -2% |
| income Net |
26.856 | 21.185 | 5.671 | +27% |
(*) Result of the company consolidated with net equity consolidation method (pro-rata): Estenergy, Euro 14,3 mln (Euro 9,3 mln in 6M 2020).


| (Thousand of Euro) |
30/06/2021 | 31/12/2020 | Chg | Chg % |
|---|---|---|---|---|
| (*) Tangible assets |
34.552 | 33.443 | 1.109 | +3% |
| (*) Non tangible assets |
631.585 | 626.685 | 4.900 | +1% |
| (**) Investments in associates |
512.743 | 515.729 | (2.986) | -1% |
| Other fixed assets |
33.406 | 34.276 | (871) | -3% |
| Fixed assets |
1.212.286 | 1.210.134 | 2.152 | +0% |
| Operating current assets |
72.265 | 128.046 | (55.781) | -44% |
| (Operating liabilities) current |
(74.411) | (98.759) | 24.347 | -25% |
| (Operating liabilities) non current |
(45.888) | (47.071) | 1.183 | -3% |
| Net working capital |
(48.035) | (17.784) | (30.251) | +170% |
| Total capital employed |
1.164.250 | 1.192.350 | (28.099) | -2% |
| Group shareholders equity |
846.474 | 853.903 | (7.429) | -1% |
| Minorities | - | - | - | n.a. |
| Net financial position |
317.777 | 338.447 | (20.670) | -6% |
| Total sources |
1.164.250 | 1.192.350 | (28.099) | -2% |
(*) According to IFRIC 12, the infrastructures under concession are consedered intangible assets;
(**) Value of the associated companies consolidated with net equity consolidation method (pro-rata): Estenergy, Euro 425,8 mln (Euro 429,0 mln as of 31st December 2020); Hera Comm, Euro 54,0 mln (Euro 54,0 mln as of 31st December 2020); Acsm-Agam, Euro 24,9 mln (Euro 24,9 mln as of 31st December 2020); Cogeide, Euro 8,0 mln (Euro 7,8 mln as of 31st December 2020).


Estenergy



Volumes of gas distributed
(Million of standard cubic meters)



(*) Tariff revenues include the tariff component for the recovery of the fee paid to local entities according to art. 46-bis DL 159/2007.



(*) Further details on page 11 of the current presentation.


| (Thousand of Euro) (*) |
6M 2021 |
6M 2020 |
Chg | Chg % |
|---|---|---|---|---|
| Gas distribution tariff revenues |
54.218 | 54.375 | (158) | -0% |
| Gas distribution tariff revenues |
54.218 | 54.375 | (158) | -0% |
| (Thousand of Euro) |
6M 2021 |
6M 2020 |
Chg | Chg % |
| Other revenues |
11.000 | 31.484 | (20.485) | -65% |
| Other of raw materials and services costs |
(24.484) | (46.655) | 22.170 | -48% |
| Cost of personnel |
(9.148) | (9.600) | 452 | -5% |
| Other operating net costs |
(22.633) | (24.770) | 2.137 | -9% |
of which:
(*) Economic data before elisions








14

(*) Excluding network extension in new urbanized areas that according to IAS are considerated as operating costs and not capital expenditures;
(**) Investments in intangible assets and in tangible assets (excluded realizations, investments in associated and investments relative to the application of IFRS 16 accounting principle).


(*) Cash flow = net income + amortizations and depreciation;
(**) Net investments in tangible and intangible assets;
(***) Purchase of own shares: + Euro 0,2 mln; dividends distributed to Ascopiave shareholders: - Euro 34,7 mln.

| Chg Chg % |
30/06/2021 31/12/2020 |
(*) |
|---|---|---|
| (21.698) -11% |
174.301 195.999 |
financial borrowings (>12 months) |
| 3.359 +8% |
43.383 40.024 |
position of long financial borrowings term |
| (3.395) -3% |
100.628 104.023 |
financial borrowings (<12 months) |
| (21.734) -6% |
318.312 340.046 |
Total financial debt |
| (15.965) -7% |
203.308 219.273 |
Fixed borrowings rate |
| (5.769) -5% |
115.004 120.773 |
Floating borrowings rate |
| 6M 2021 average cost of debt: 0,30% (vs 12M 2020 rate: 0,34%) |
(*) Data refers to only companies consolidated with full consolidation method.


Companies consolidated with full consolidation method
→ Financial highlights


| (Thousand of Euro) |
6M 2021 |
6M 2020 |
|---|---|---|
| Revenues | 212.830 | 191.006 |
| (Purchase for other raw materials) costs |
(111.903) | (96.636) |
| (Costs for services) |
(73.226) | (70.798) |
| for personnel) (Costs |
(3.910) | (3.630) |
| (Other costs) management |
(316) | (278) |
| EBITDA | 23.474 | 19.663 |
| (Depreciations and amortizations) + (provisions) |
(7.480) | (6.794) |
| EBIT | 15.994 | 12.869 |
| Financial income / (expenses) |
476 | 451 |
| EBT | 16.470 | 13.320 |
| (Income taxes) |
(4.405) | (3.116) |
| Net income |
12.065 | 10.204 |
| (Thousand of Euro) |
30/06/2021 | 31/12/2020 |
|---|---|---|
| Tangible assets |
1.731 | 1.812 |
| tangible Non assets |
317.100 | 314.141 |
| Investments in associates |
8.230 | 8.424 |
| Other fixed assets |
1.049 | 1.683 |
| Fixed assets |
328.110 | 326.061 |
| Operating current assets |
87.202 | 139.482 |
| (Operating liabilities) current |
(111.175) | (93.126) |
| (Operating liabilities) non current |
(26.224) | (51.913) |
| working capital Net |
(50.197) | (5.557) |
| Total capital employed |
277.913 | 320.504 |
| Shareholders equity |
346.217 | 348.864 |
| Net financial position |
(68.304) | (28.360) |
| Total sources |
277.913 | 320.504 |
(*) Pro-rata amounts, i.e. proportional to the Ascopiave's capital stake in Estenergy (48%).
Estenergy


Companies consolidated with full consolidation method
Estenergy



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