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Sonae SGPS

Annual / Quarterly Financial Statement Nov 13, 2019

1901_10-q_2019-11-13_d520e60f-7c70-43cd-bf63-5e90728a9adc.pdf

Annual / Quarterly Financial Statement

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Condensed consolidated financial statements

CONDENSED CONSOLIDATED STATEMENTS OF FINANCIAL POSITION AS AT 30 SEPTEMBER 2019 AND 2018 AND 31 DECEMBER 2018

(Translation of consolidated financial statements originally issued in Portuguese. In case of discrepancy the Portuguese version prevails.)

(Amounts expressed in euro)

ASSETS 30 Sep 2019 30 Sep 2018
Restated
31 Dec 2018
Restated
01 Jan 2018
Restated
30 Sep 2019
Pro Forma
30 Sep 2018
Pro Forma
31 Dec 2018
Pro Forma
NON-CURRENT ASSETS:
Property, plant and equipment
Intangible assets
1,353,860,485
206,252,111
1,302,075,502
217,171,572
1,293,140,018
211,150,982
1,647,932,405
342,916,302
1,353,860,485
206,252,111
1,302,075,502
217,171,572
1,293,140,018
211,150,982
Right-of-use assets
Goodwill
867,096,112
494,777,289
732,838,744
447,726,909
780,101,393
446,613,429
860,046,399
553,339,386
867,096,112
494,777,289
714,482,246
447,726,909
780,101,393
446,613,429
Investments in joint ventures and associates 4,438,455 7,699,137 4,084,814 41,442,483 4,438,455 7,699,137 4,084,814
Other investments 17,135,717 12,174,597 16,589,032 12,323,384 17,135,717 12,174,597 16,589,032
Deferred tax assets 25,556,602 32,469,913 31,025,591 56,857,992 25,556,602 32,469,913 31,025,591
Other non-current assets 10,067,976 10,891,253 9,345,776 19,208,573 10,067,976 10,891,253 9,345,776
Total Non-Current Assets 2,979,184,747 2,763,047,627 2,792,051,035 3,534,066,924 2,979,184,747 2,744,691,129 2,792,051,035
CURRENT ASSETS:
Inventories 415,034,505 380,688,832 396,767,259 713,020,919 415,034,505 380,688,832 396,767,259
Trade accounts receivable and other current assets 264,670,742 173,612,041 220,320,004 232,872,282 197,586,773 173,612,041 155,480,924
Income tax assets 52,595,141 46,141,235 43,820,498 32,179,395 52,595,141 46,141,235 43,820,498
Other investments 3,082,506 311,011 1,231,414 179,881 833,030 311,011 1,231,414
Cash and bank balances 83,787,140 91,072,325 78,235,498 162,378,843 116,247,022 91,072,325 98,818,948
Total Current Assets 819,170,034 691,825,444 740,374,673 1,140,631,320 782,296,470 691,825,444 696,119,043
Assets classified as held for sale - 127,229,283 - 782,540 - 127,929,283 -
TOTAL ASSETS 3,798,354,781 3,582,102,354 3,532,425,708 4,675,480,784 3,761,481,217 3,564,445,856 3,488,170,078
EQUITY AND LIABILITIES
EQUITY:
Share capital 1,000,000,000 1,000,000,000 1,000,000,000 1,000,000,000 1,000,000,000 1,000,000,000 1,000,000,000
Own shares - - - (320,000,000) - - -
Reserves and retained earnings (429,035,811) (904,928,094) (995,666,567) (68,700,686) (429,035,811) (898,864,623) (991,666,567)
Profit/(Loss) for the period attributable to the equity holders of 82,499,178 471,201,929 644,840,665 - 82,499,178 471,201,929 644,840,665
the Parent Company
Equity attributable to the equity holders of the Parent Company
653,463,367 566,273,835 649,174,098 611,299,314 653,463,367 572,337,306 653,174,098
Non-controlling interests 35,514,201 29,442,873 28,992,807 89,004,903 35,514,201 29,423,180 28,992,807
TOTAL EQUITY 688,977,568 595,716,708 678,166,905 700,304,217 688,977,568 601,760,486 682,166,905
LIABILITIES:
NON-CURRENT LIABILITIES:
Loans
Lease liabilities
684,859,848
892,321,617
727,236,738
707,733,678
657,881,978
751,377,800
620,484,413
810,724,742
684,859,848
892,321,617
727,236,738
689,430,967
657,881,978
751,377,800
Other non-current liabilities 22,492,515 20,548,387 23,143,388 414,696,058 22,492,515 20,548,387 22,874,677
Deferred tax liabilities 103,362,013 99,518,002 95,559,665 122,806,483 102,948,642 99,518,002 95,501,059
Provisions 9,391,385 8,334,719 9,570,442 14,659,973 9,391,385 8,334,719 9,570,442
Total Non-Current Liabilities 1,712,427,378 1,563,371,524 1,537,533,273 1,983,371,669 1,712,014,007 1,545,068,813 1,537,205,956
CURRENT LIABILITIES:
Loans 79,013,829 169,902,081 48,841,228 181,238,135 78,480,443 169,902,081 48,709,992
Lease liabilities 73,492,414 103,849,610 107,534,707 128,061,369 73,492,414 101,063,693 107,534,707
Trade payables and other current liabilities 1,186,114,106 1,048,586,268 1,122,598,977 1,645,741,127 1,150,187,301 1,045,974,620 1,074,801,900
Income tax liabilities 57,899,606 27,069,140 36,842,217 31,153,884 57,899,606 27,069,140 36,842,217
Provisions 429,880 2,004,076 908,401 5,610,383 429,880 2,004,076 908,401
Total Current Liabilities
Liabilities directly associated with assets classified as held for
1,396,949,835 1,351,411,175 1,316,725,530 1,991,804,898 1,360,489,643 1,346,013,610 1,268,797,217
sale - 71,602,947 - - - 71,602,947 -
TOTAL LIABILITIES 3,109,377,213 2,986,385,646 2,854,258,803 3,975,176,567 3,072,503,649 2,962,685,370 2,806,003,173
TOTAL EQUITY AND LIABILITIES 3,798,354,781 3,582,102,354 3,532,425,708 4,675,480,784 3,761,481,217 3,564,445,856 3,488,170,078

CONDENSED CONSOLIDATED INCOME STATEMENTS FOR THE PERIOD ENDED 30 SEPTEMBER 2019 AND 2018

(Translation of consolidated financial statements originally issued in Portuguese. In case of discrepancy the Portuguese version prevails.)

(Amounts expressed in euro) th Quarter 2019
3
th Quarter 2018
3
Restated
30 Sep 2019 30 Sep 2018
Restated
th Quarter 2018
3
Pro Forma
30 Sep 2018
Pro Forma
Sales 1,214,135,606 1,117,647,354 3,331,850,259 3,043,549,671 1,117,647,354 3,043,549,671
Services rendered 32,696,359 27,464,324 94,799,608 83,694,860 28,264,324 84,494,860
Gains and losses on investments - (754,135) 2,685 (757,063) (754,135) (757,063)
Other income 24,153,806 16,740,274 60,918,623 46,043,287 16,759,359 46,062,372
Cost of goods sold and materials consumed (886,518,306) (811,155,458) (2,411,814,385) (2,176,948,409) (811,166,865) (2,176,959,816)
External supplies and services (97,164,780) (99,129,917) (281,017,333) (278,262,428) (99,296,360) (278,428,871)
Employee benefits expense (137,430,216) (125,241,606) (418,185,012) (388,342,210) (125,241,606) (388,342,210)
Other expenses (13,698,553) (11,247,827) (34,240,803) (35,075,365) (11,317,462) (35,145,000)
Depreciation and amortisation expenses (61,778,426) (53,435,035) (182,284,587) (157,999,651) (53,452,868) (158,017,484)
Provisions and impairment losses (29,386) (674,165) 552,470 (2,389,496) (943,959) (2,659,290)
Profit from continuing operations before interests, dividends, share of
profit or loss of joint ventures and associates and tax
74,366,104 60,213,809 160,581,525 133,513,196 60,497,783 133,797,170
Dividends received during the year 450 - 100,450 100,450 - 100,450
Share of profit or loss of joint ventures and associates (353,780) (400,566) 282,846 (337,840) (400,566) (337,840)
Financial income 1,023,031 355,142 2,293,633 1,633,122 555,736 1,626,901
Financial expense (19,953,457) (57,167,662) (58,489,413) (107,617,770) (18,968,446) (53,997,309)
Profit from continuing operations before tax 55,082,348 3,000,723 104,769,041 27,291,158 41,400,533 80,905,399
Income tax expense (12,137,727) 5,847,561 (17,099,505) 2,730,858 (1,726,951) (9,945,662)
Profit from continuing operations for the period 42,944,621 8,848,284 87,669,536 30,022,016 39,673,582 70,959,736
Profit/(Loss) from descontinued operations after taxation 879,047 466,316,789 (1,504,425) 442,981,692 435,491,491 402,043,972
Consolidated profit/(Loss) for the period 43,823,668 475,165,073 86,165,111 473,003,708 475,165,073 473,003,708
Attributable to owners of the Company:
Continuing operations 41,255,651 7,908,957 84,003,603 28,065,463 38,734,256 69,003,184
Discontinued operations 879,047 466,412,101 (1,504,425) 443,136,466 435,586,802 402,198,745
42,134,698 474,321,058 82,499,178 471,201,929 474,321,058 471,201,929
Attributable to non-controlling interests:
Continuing operations 1,688,970 939,327 3,665,933 1,956,553 939,329 1,956,555
Discontinued operations - (95,312) - (154,774) (95,312) (154,774)
1,688,970 844,015 3,665,933 1,801,779 844,015 1,801,779

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