Earnings Release • May 15, 2025
Earnings Release
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U.C.M. Reşiţa S.A. Sediu Social: Piata Charles de Gaulle, nr. 15 Cladirea Charles de Gaulle Plaza, etaj 3, birou Peles 011857, sector 1, Bucuresti, Romania Sediu Administrativ: Str. Golului, Nr.1, 320053, Reşiţa, Romania Tel: +40-(0)255-217111 · Fax: +40-(0)255-223082 contact(@ucmr.ro · http://www.ucmr.ro
2256 în faliment, in bankruptcy, e fallite
As per Law no. 24/ 2017 and ASF Regulation no. 5/2018
Date of the report: 15.05.2025
Name of the issuing company: U.C.M. Resita S.A.
Registered office: Charles de Gaulle Square, No. 15, Charles de Gaulle Plaza Building, 38 Floor, Office Peles, Sector 1, Bucharest
Administrative headquarters: Resita, Golului Street, no. 1, 320 053, Caras-Severin County Phone No.: 0355/409542; Fax: 0355/409542
Unique registration code: 1056654
Number at the Trade Register Office: J 40/13628/2011
Subscribed and paid-up capital: 10,993,390.40 lei
Regulated market where the issued securities are traded: Bucharest Stock Exchange Important events to report: Report for the first quarter of 2025
S.C. U.C.M. Resita S.A. informs the general public about the availability of the Report for the first quarter of 2025.
The Report can be found, as of 15.05.2025 , on the website http://www.ucmr.ro and the IRIS platform link.
As of the same date, the persons interested may, on written request, obtain a copy of these documents. The application will be submitted/sent directly to the administrative headquarters of the company (workstation) located in Resita, Golului Street, no. 1, 320053, Caras-Severin County or at fax number 0355/409542.
The financial statements of the company for the first quarter of 2025 are not audited.
In the table below is presented the situation of assets, liabilities and equity on March 31, 2025 compared to the beginning of the year 2025:
ﺍ ﺍﻟ
| No. | Balance sheet items | 01-01-2015 | 31.03.2025 |
|---|---|---|---|
| 1 | Fixed assets | 35,827,346 | 35.405.272 |
| 2 | Current assets | 106,872,454 | 89,431,732 |
| 3 | Prepayments | 8.503 | 737,455 |
| TOTAL ASSETS | 142,529,459 | 125 574.459 | |
| 4 | Debts | 441,139,959 | 425.266.398 |
| 5 | Income in advance | 1.567.685 | 1.532.925 |
| 6 | Provisions | 77.479.199 | 77,479,199 |
| Owner's equity | (377,657,384) | (378,704,063 | |
| TOTAL LIABILITIES | 142,529,459 | 125,574,459 |

The profit and loss account highlights the following indicators:
| Lei | |||
|---|---|---|---|
| No. | Indicator name | 31.03.2024 | 31.03.2025 |
| 1 | Turnover (2+3-4) | 3,701,303 | 267,128 |
| 2 | Production sold | 3,701,303 | 267,128 |
| 3 | Revenues from sale of goods | ||
| 4 | Discounts granted | - | |
| 5 | Changes in stocks: Credit balance |
- | |
| Debtor balance | 10,519,312 | ||
| 6 | Capitalized production | - | |
| 7 | Exercise production (1+/-5+6) | (6,818,009) | 267,128 |
| 8 | Other operating revenues, of which : | 98,255,951 | 16,867 |
| 8a | Income from fixed assets held for sale | 67,879,000 | |
| 9 | Operating revenues, total (7+8) | 91,437,942 | 283,995 |
| 10 | Financial revenues, total | 120.426 | 1,008,153 |
| 11 | Total revenues (9+10) | 91,558,368 | 1,292,148 |
The expenses of the company are shown below:
| 1 | |||
|---|---|---|---|
| No. | Indicator name | 31.03.2024 | 31.03.2025 |
| 1 | Expenses on raw material and consumables | 89.413 | 3.979 |
| 2 | Other external expenses (energy and water) | 1,384,762 | 82,387 |
| 3 | Expenses with the personnel | 4,824,598 | 207,477 |
| 4 | Adjustments | (8,622,263) | 422,074 |
| 5 | Other operating expenses, of which : | 66,525,037 | 1,340,931 |
| 5a | Expenses on disposal of fixed assets held for sale |
60.624.641 | |
| 6 | Total operating expenses (rw. 1 to 5) | 64,201,547 | 2,056,848 |
| 7 | Total financial expenses | 37.394 | 281,979 |
| 8 | TOTAL EXPENSES | 64,238,941 | 2,338,827 |
ﻧﻪ ﺍ
U.C.M. Reșița S.A. Sediu Social: Piata Charles de Gaulle, nr. 15 Cladirea Charles de Gaulle Plaza, etaj 3, birou Peles 011857, sector 1, Bucuresti, Romania Sediu Administrativ: Str. Golului, Nr.1, 320053, Reşiţa, Romania Tel: +40-(0)255-217111 · Fax: +40-(0)255-223082 [email protected] http://www.ucmr.ro

The evolution of the results is shown below:
| Lei | |||
|---|---|---|---|
| No. | Indicator name | 31.03.2024 | 31.03.2025 |
| 7 | Operating revenues | 91,437,942 | 283,995 |
| 2 | operating expenses | 64,201,547 | 2,056,848 |
| 3 | Operating activities | 27,236,395 | (1,772,853) |
| ব | Financial revenues | 120,426 | 1,008,153 |
| 5 | Financial expenses | 37,394 | 281,979 |
| 6 | Financial result | 83,032 | 726,174 |
| 7 | The profit tax | 6.472.912 | |
| 8 | Net result for the financial year | 20,846,515 | (1,046,679) |
As in the previous quarter, the Company's activity was limited to asset rentals. The income resulting from these activities is significantly lower than the expenses of the period, of which we mention the expenses with local taxes and fees as well as the expenses with security with large weights in their structure. Thus, the Company recorded at the end of the first quarter of 2025 a loss of 1,046,679 lei.
UCM RESITA SA- în faliment, in bankruptcy, en fallite,, Judicial liquidator, EURO INSOL SPRL and V.F. Insolventă SPRL Consortium

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