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Corticeira Amorim

Pre-Annual General Meeting Information Nov 10, 2023

1912_iss_2023-11-10_590df95a-ffb5-46df-b1db-3e76bd392dba.pdf

Pre-Annual General Meeting Information

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EXTRAORDINARY GENERAL MEETING OF 4 DECEMBER 2023 – 9 A.M.

FIRST ITEM ON THE AGENDA

PROPOSAL

The Board of Directors of Corticeira Amorim, S.G.P.S., S.A.

shall propose

that the Shareholders approve the individual interim balance sheet of the company as of 30 September 2023.

Mozelos, Santa Maria da Feira 02November 2023

Corticeira Amorim, S.G.P.S., S.A. The Board of Directors

EXTRAORDINARY GENERAL MEETING OF 4 DECEMBER 2023 – 9 A.M.

SECOND ITEM ON THE AGENDA

PROPOSAL

The Board of Directors of Corticeira Amorim, S.G.P.S., S.A., taking into consideration that:

  • a) The individual balance sheet of the company, as at the thirtieth of September two thousand and twenty-three, shows:
  • − distributable reserves in the amount of €113,871,396.97 (one hundred and thirteen million, eight hundred and seventy-one thousand, three hundred and ninety-six euros and ninety-seven cents),
  • − and legal reserves in the amount of €26,600,000.00 (twenty-six million, six hundred thousand euros),
  • b) The distribution of distributable reserves is admissible provided that the company's equity, as shown in the aforementioned interim balance sheet, is not less than the sum of the share capital and reserves whose distribution to Shareholders is not permitted by law and the articles of association,
  • c) The solid growth of the business and the good results recorded over the last few years have allowed Corticeira Amorim to generate increasing cash flows, making it possible to distribute "reserves" to the Shareholders without jeopardising the maintenance of an efficient and balanced capital structure within the Corticeira Amorim Group;

Shall propose:

That the Shareholders approve the distribution of distributable reserves in the amount of €11,970,000.00 (eleven million, nine hundred and seventy thousand euros), equivalent to a gross amount of €0.09 (nine cents) per share, to be distributed among the Shareholders in proportion to their holdings, payable within a maximum period of 20 (twenty) days.

Mozelos, Santa Maria da Feira 02November 2023

Corticeira Amorim, S.G.P.S., S.A.

The Board of Directors

Individual Statement of Financial Position

(Thousand euros) September 30, 2023 December 31, 2022
ASSETS
Non-current assets
Tangible assets 28,620.00 42,480.00
Right of use 22,928.49 39,615.12
Investments in associates and joint-ventures 186,024,448.60 280,223,855.00
Other financial assets 46,996.40 57,014.35
Group companies 298,148,829.38 90,125,329.38
Deferred tax assets 1,777,236.65 -
486,049,059.52 370,488,293.85
Current assets
Group companies 53,418,059.35 109,158,897.26
Income tax assets 11,149,382.00 8,777,016.99
Other assets 3,696,160.49 1,053,822.96
Accrued Expenses 111,215.11 157,561.06
Cash and cash equivalents 1,437.87 46,177.49
68,376,254.82 119,193,475.76
Total Assets 554,425,314.34 489,681,769.61
Equity
Share capital 133,000,000.00 133,000,000.00
Paid-in capital 38,893,214.10 38,893,214.10
Legal reserves 26,600,000.00 26,600,000.00
Other reserves 113,871,396.97 90,220,333.34
Revaluation surplus 4,051,968.48 4,051,968.48
Other changes in equity 337,737.97 337,737.97
316,754 317.52 293,103,253.89
Net Income 37,928,102.65 50,251,063.63
Total Equity 354,682,420.17 343,354,317.52
Liabilities
Non-current liabilities
Interest-bearing loans 101,700,000.00 96,200,000.00
Lease liabilities 3,242.92 16,230.66
Deferred tax liabilities 652,500.56 831,210.58
102,355,743.48 97,047,441.24
Current liabilities
Interest-bearing loans 85,841,992.08 40,340,054.67
Trade payables 158,900.32 32,084.97
Group companies 10,250,000.00 8,226,922.09
Lease liabilities 11,844.12 19,569.09
Other liabilities 1,124,414.17 661,380.03
97,387,150.69 49,280,010.85
Total Liabilities 199,742,894.17 146,327,452.09
Total Liabilities and Equity 554,425,314.34 489,681,769.61

The Certified Accountant The Board of Directors

Rua de Meladas 380 Apartado 20 4536-902 Mozelos Portugal Edifício AmorimComendador Américo Ferreira Amorim 380 4536-902 Mozelos

Individual income statement by nature

(Thousand euros) 9M 2023 Year 2022
INCOME AND EXPENSES
Share (loss)/profit of associates and joint-ventures 36,800,000.00 41,820,000.00
Third party supplies and services -
523,609.32
-
440,783.63
Staff costs -
1,723,109.72
-
2 225,324,37
Other income and gains 15,150.13 1,743.55
Other costs and losses -
142,104.39
-
172,793.10
Earnings before depreciation, financing expenses and taxes 34,426,326.70 38,982,842.45
Depreciation -
32,816.40
-
41,774.55
Operating Profit (before financing expenses and taxes) 34,393,510.30 38,941,067.90
Financial income 3,995,395.51 1,014.849.88
Financial costs -
2,456,228.83
-
868,574.92
Profit before tax 35,932,676.98 39,087,342.86
Income tax 1,995,425.67 11,163,720.77
Net Income 37,928,102.65 50,251,063.63

The Certified Accountant The Board of Directors

Rua de Meladas 380 Apartado 20 4536-902 Mozelos Portugal Edifício AmorimComendador Américo Ferreira Amorim 380 4536-902 Mozelos

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