Annual / Quarterly Financial Statement • Apr 28, 2025
Annual / Quarterly Financial Statement
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| 2024 | 2023 | |
|---|---|---|
| € | € | |
| Sales Cost of sales |
5.167.908 (3.690.439) |
5.534.472 (4.041.826) |
| Gross profit | 1.477.469 | 1.492.646 |
| Other operating income Sales and distribution expenses Administrative expenses Gain/(loss) of impairment in trade and other receivables Other profits |
13.740 (533.402) (846.513) 32.049 4.123 |
50.536 (530.564) (800.110) (11.456) 1.344 |
| Profit from operations Finance cost |
147.466 (145.280) |
202.396 (111.888) |
| Profit before taxation Taxation |
2.186 (2.860) |
90.508 (14.842) |
| Net (loss)/profit for the year | (674) | 75.666 |
| Other total income | ||
| Amounts not to be reclassified to the results in subsequent periods: Adjustment of fair value of land and buildings Adjustment of deferred taxation |
88.479 (13.862) |
- 2.360 |
| Other total income for the year | 74.617 | 2.360 |
| Total profits for the year | 73.943 | 78.026 |
| (Loss)/earnings per share attributable to the shareholders of the parent company (cents) – Basic and fully diluted |
(0.007) | 0.751 |
| 2024 | 2023 | |
|---|---|---|
| € | € | |
| ASSETS | ||
| Non-current assets | ||
| Property, plant and equipment | 2.376.608 | 2.335.330 |
| Investment property | 3.939.919 | 3.975.866 |
| Goodwill | 309.354 | 309.354 |
| Trade and other receivables | 52.500 | 49.688 |
| Total non-current assets | 6.678.381 | 6.670.238 |
| Current assets | ||
| Stocks | 684.553 | 763.635 |
| Trade and other receivables | 772.365 | 973.968 |
| Financial assets at fair value through profit and loss | 10.526 | 6.600 |
| Tax refundable | 20.229 | - |
| Cash at bank and in hand | 4.323 | 12.095 |
| Total current assets | 1.491.996 | 1.756.298 |
| 8.170.377 | 8.426.536 | |
| Total Assets | ||
| EQUITY AND LIABILITIES | ||
| Equity | ||
| Share capital | 3.423.746 | 3.423.746 |
| Other reserves | 4.192.019 | 4.146.345 |
| Accumulated losses | (4.513.811) | (4.542.080) |
| Total equity | 3.101.954 | 3.028.011 |
| Non-current liabilities | ||
| Borrowings | 1.276.574 | 1.348.101 |
| Deferred tax liabilities | 664.013 | 657.001 |
| Total non-current liabilities | 1.940.587 | 2.005.102 |
| Current liabilities | ||
| Trade and other creditors | 1.200.137 | 1.371.777 |
| Borrowings | 1.927.596 | 2.015.775 |
| Current tax liabilities | 103 | 5.871 |
| Total current liabilities | 3.127.836 | 3.393.423 |
| Total liabilities | 5.068.423 | 5.398.525 |
| Total equity and liabilities | 8.170.377 | 8.426.536 |
| 2024 | 2023 | |
|---|---|---|
| € | € | |
| Cash flow from operations | ||
| Profit before taxation | 2.186 | 90.508 |
| Depreciation of property, plant and equipment | 102.336 | 102.348 |
| Depreciation of investment property | 77.411 | 76.167 |
| Gains in fair values in financial assets at fair value through profit and loss | (3.926) | (1.344) |
| Reversal/(charge) for impairment in the value of trade receivables | (32.049) | 11.456 |
| Debit interest | 135.628 | 104.044 |
| Dividends receivable | - | (217) |
| Cash flows from operations before changes in capital Changes in working capital |
281.586 | 382.962 |
| Decrease in stocks | 79.082 | 52.578 |
| Decrease in trade and other receivables | 230.840 | 13.203 |
| (Decrease)/increase in trade and other creditors | (202.603) | 31.539 |
| Cash from operations | 388.905 | 480.282 |
| Tax paid | (35.177) | (22.401) |
| Net cash from operations | 353.728 | 457.881 |
| Cash flow from investing activities | ||
| Payment for purchase of property, plant and equipment | (55.135) | (3.455) |
| Payment for additions to investment property | (41.464) | (153.950) |
| Dividends received | - | 217 |
| Net cash for investing activities | (96.599) | (157.188) |
| Cash flow from financing activities | ||
| Loan capital repayments | (306.954) | (270.810) |
| Proceeds from new bank loans | 169.437 | - |
| Proceeds from new loans from affiliated parties | 30.000 | 70.000 |
| Interest – loans paid | (64.306) | (53.385) |
| Other interest paid | (70.816) | (50.659) |
| Net cash for financing activities | (242.639) | (304.854) |
| Net increase/(decrease) in cash and cash equivalents | 14.490 | (4.161) |
| Cash and cash equivalents at beginning of year | (1.657.688) | (1.653.527) |
| Cash and cash equivalents at end of year | (1.643.198) | (1.657.688) |
| Share capital |
Fair value reserve – land and buildings |
Share premium reserve |
Accumulated losses |
Total | |
|---|---|---|---|---|---|
| € | € | € | € | € | |
| Balance as at 1 January 2023 | 3.423.746 | 4.155.608 | 17.320 | (4.646.689) | 2.949.985 |
| Total income Net profit for the year |
- | - | - | 75.666 | 75.666 |
| Other total income for the year | - | 2.360 | - | - | 2.360 |
| Total income for the year | - | 2.360 | - | 75.666 | 78.026 |
| Other changes Additional depreciation due to revaluation brought forward Deferred taxation to additional |
- | (33.078) | - | 33.078 | - |
| depreciation due to revaluation | - | 4.135 | - | (4.135) | - |
| Total other changes | - | (28.943) | - | 28.943 | - |
| Balance as at 31 December 2023/ 1 January 2024 |
3.423.746 | 4.129.025 | 17.320 | (4.542.080) | 3.028.011 |
| Total income Net loss for the year |
- | - | - | (674) | (674) |
| Other total income for the year | - | 74.617 | - | - | 74.617 |
| Total income for the year | - | 74.617 | - | (674) | 73.943 |
| Other changes Additional depreciation due to revaluation brought forward Deferred taxation to additional |
- | (33.078) | - | 33.078 | - |
| depreciation due to revaluation | - | 4.135 | - | (4.135) | - |
| Total other changes | - | (28.943) | - | 28.943 | - |
| Balance as at 31 December 2024 | 3.423.746 | 4.174.699 | 17.320 | (4.513.811) | 3.101.954 |
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