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Altur S.A.

Earnings Release Feb 28, 2025

2325_er_2025-02-28_7dde5bbd-eff0-476b-9ced-24d925a65f7a.pdf

Earnings Release

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ALTUR S.A. FINANCIAL RESULTS PRELIMINARY For the financial year ended 31 December 2024

NOTE

The preliminary financial results presented are reported in accordance with the Order of the Minister of Public Finance no.2844 / 2016, which is in line with the International Financial Reporting Standards (IFRS) adopted by the European Union. The preliminary financial results presented at this date have not been audited.

Situation of the financial position for the financial year ended December 31, 2024

31 December 31 December
2023 2024
ASSETS RON RON
Intangible assets
Tangible assets 58,339,9352 54,945,974
Titles at fair value through profit or loss
Rights of use of assets in leasing 2,100,415 1,755,779
Non-current assets 731,500 731,500
TOTAL Fixes Assets 61,171,850 57,433,253
Current assets
Stocks 27,291,654 21,768,883
Commercial and similar receivables 22,955,698 21,757,710
Expenses registered in advance 23,292
Cash and cash equivalents 3,954,992 2,421,882
TOTAL CURRENT ASSETS 54,202,344 45,971,767
TOTAL ASSETS 112, 469, 540
115,374,194
103,405,020
OWN CAPITAL AND LIABILITIES
Personal capital
Total Social Capital, out of which: 30,600,574 30,600,574
- Subscribed capital 30,600,574 30,600,574
- Adjustments of share capital
Prime capital (1,101,122) (1,101,122)
Legal reserve and other capital reserves 2,133,766 2,133,766
Revaluation reserves 43,881,846 43,881,846
Reported result (13,127,985) (12,617,438)
Total equity 62,387,079 62,897,626
Long-term debt
Loans and interest-bearing loans 1,752,007 6,963,896
Loans from bond issues 10,233,337 5,254,197
Subsidies 4,961,846
Deferred tax liabilities 1,038,881 950,759
Provisions 913,179 464,278
Current debts
Commercial and similar debts 22,760,234 11,701,289
Loans and interest-bearing loans 16,289,477 10,211,129
Profit tax on payment -
112,469,540
-
Total equity and debt 115,374,194 103,405,020

Chairman of the Board of Directors/General Manager

Ec. Burcă Sergiu

Chief financial officer Ec. Popescu Mioara Luminița

SITUATION OF THE GLOBAL RESULT AT 31 DECEMBER 2024

Year ended
31 December
2023
RON
Year ended
31 December
2024
RON
Sale of goods 130,080,953 104,430,539
Service provision 204 144,329
Rental income 123,708 134,965
Turnover 130,204,865 104,709,833
Other operating revenues 3,759,344 2,181,230
Changes in stocks of finished goods and production
in progress 2,598,357 (2,400,881)
TOTAL REVENUE FROM THE OPERATIONS 136,562,566 104,490,182
Expenditure on raw materials and consumables 68,553,510 52,482,642
Employee Benefits Expenditures 30,460,421 29,565,598
Expenses with amortization of fixed assets 5,585,025 6,113,502
Depreciation costs of fixed assets 152,554 (933,446)
Adjustments to provisions
Utilities expenses 13,476,864 8,398,323
Other expenses 7,255,301 5,747,989
TOTAL EXPENDITURE 125,483,675 101,374,608
PROFIT / (LOSS OF OPERATION) 11,078,891 3,115,574
Financial Income 764,535 203,873
Financial costs 3,497,547 2,238,051
FINANCIAL PROFIT / (LOSS) (2,733,012) (2,034,178)
TOTAL INCOME 137,327,101 104,694,055
TOTAL EXPENSES 128,981,222 103,612,659
PROFIT / LOSS () GROSS (A) 8,345,879 1,081,396
Profit tax expense - -
Income from deferred tax 53,580 53,580
HE PROFIT/LOSS()OF THE FINANCIAL YEAR 8,399,459 1,134,976
TOTAL GLOBAL OUTPUT FOR THE PERIOD 8,399,459 1,134,976
BASIC RESULT/ DILUTED PER SHARE 0,027 0,003

Chairman of the Board of Directors/General Manager Ec. Burcă Sergiu

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