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Siguldas CMAS

Quarterly Report Nov 25, 2021

2236_rns_2021-11-25_d5b2c9e0-c11f-421c-9df1-6cf73393f6a5.pdf

Quarterly Report

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Joint Stock Company 'SIGULDAS CILTSLIETU UN MĀKSLĪGĀS APSĒKLOŠANAS STACIJA'

Unaudited financial information

for the nine months

of the year 2021

Index of Contents

Page
Information on the Company 3
Profit or Loss Account 4
Balance sheet 5
Cash flow statement 7
Statement on changes in shareholders' equity 8
Report on Management Liability 9

Information on the Company

Company's name SIGULDAS CILTSLIETU UN MĀKSLĪGĀS APSĒKLOŠANAS
STACIJA
Company's legal status Joint stock company
Registration number, place and date 40003013295, Riga, 26 July 1991
Registration in the Commercial Register on 19 June 2004
Legal address 'Kalnabeites 8', Sigulda, Sigulda municipality, LV-2150, Latvia
Shareholders holding more than 5% of the total
number of voting shares
'Siguldas mākslīgās apsēklošanas stacija' Ltd. (49.92%), registration
No. 40003311954
SCI AG (5.95%)
Bartholomäus-Arnoldi-Str. 82, DE-61250 Usingen, Germany
Oļegs Radčenko (5.19%)
Members of the Management Board Nils Ivars Feodorovs, chairman of the Management Board
Sarmīte Arcimoviča, member of the Management Board
Valda Mālniece, member of the Management Board
Members of the Supervisory Board Inita Bedrīte, chairwoman of the Supervisory Board
Maija Beča, deputy chairwoman of the Supervisory Board
Baiba Mecauce, member of the Supervisory Board
Guntis Mecaucis, member of the Supervisory Board
Jānis Tūtāns, member of the Supervisory Board
Reporting period 01.01.2021 – 30.09.2021
Previous reporting period 01.01.2020 – 30.09.2020
Auditors Olga Kuzmiča
Sworn Auditor
Certificate No. 207
'Orients Audit & Finance' Ltd.
Gunāra Astras street 8B
Riga, LV-1082, Latvia
Sworn Auditors' Commercial Company's license No. 28

Profit or loss account

30.09.2021
EUR
30.09.2020
EUR
Net sales 1 027 516 908 799
a) from agricultural activities 1 027 516 908 799
Changes in stock of ready-made goods and unfinished products 23 925 19 144
Other operating income 30 584 49 105
Costs of materials: (489 717) (396 600)
a) raw materials and auxiliary costs of materials (410 324) (322 881)
b) other external costs (79 393) (73 719)
Personnel costs: (358 978) (356 139)
a) salaries for work (284 675) (281 114)
b) state social insurance compulsory contributions (63 453) (63 791)
c) other social insurance costs (10 850) (11 234)
Depreciation adjustments: (44 238) (43 727)
a) depreciation adjustments of fixed and intangible assets (44 192) (43 720)
b) depreciation adjustments of current assets which the
company considers to be above the normal write-off amounts
(46) (7)
Other operating costs (49 787) (52 370)
Profit or loss before enterprise income tax 139 305 128 212
Enterprise income tax for the reporting year (3) -
Profit or loss after enterprise income tax calculation 139 302 128 212
The profit or loss for the year 139 302 128 212
Earnings per 1 share (EPS) 0.330 0.304

Chairman of the Management Board

Nils Ivars Feodorovs Sarmīte Arcimoviča Valda Mālniece Member of the Management Board

Member of the Management Board, Manager of the Financial and Accounting department

Balance sheet

Assets 30.09.2021
EUR
31.12.2020
EUR
Long-term investments
Intangible assets
Concessions, patents, licenses, trademarks and similar
rights
1 881 3 090
Intangible assets total 1 881 3 090
Fixed assets (fixed assets and investment properties)
Fixed assets
Immovable properties - land parcels, buildings and
constructions
128 636 143 231
Productive animals and perennial plantings 40 074 45 093
Technological equipment and machinery 1 460 2 555
Other fixed assets and inventory 39 041 20 604
Fixed assets total 209 211 211 483
Investment properties 68 000 68 000
Long-term financial investments
Other securities and investments 684 684
Long-term financial investments total 684 684
Long-term investments total 279 776 283 257
Current assets
Stock
Raw materials, basic materials and auxiliary materials 18 221 21 347
Ready-made goods and goods for sale 884 208 781 719
Prepayments for goods 2 539 6 535
Stock total 904 968 809 601
Receivables
Trade receivables 380 377 234 331
Other receivables 6 255 1 239
Prepaid expenses 5 309 10 078
Accrued income 27 854 29 975
Receivables total 419 795 275 623
Cash 240 409 360 288
Current assets total 1 565 172 1 445 512
Assets total 1 844 948 1 728 769

Balance sheet

Shareholders' equity and liabilities 30.09.2021
EUR
31.12.2020
EUR
Shareholders' equity
Share capital 591 416 591 416
Retained earnings or loss carried forward from previous years 968 685 911 086
Profit or loss of the reporting year 139 302 104 068
Shareholders' equity total 1 699 403 1 606 570
Payables
Short-term payables
Prepayment received from customers 18 564 973
Trade payables 57 561 40 328
Taxes and social insurance payments 39 827 42 253
Other payables 16 329 22 021
Accrued liabilities 13 264 16 624
Short-term payables total 145 545 122 199
Payables total 145 545 122 199
Shareholders' equity and liabilities total 1 844 948 1 728 769

Chairman of the Management Board

Nils Ivars Feodorovs Sarmīte Arcimoviča Valda Mālniece Member of the Management Board

Member of the Management Board, Manager of the Financial and Accounting department

Cash flow statement

30.09.2021
EUR
30.09.2020
EUR
Cash flow from operating activities
Income from sale of goods and provision of services 1 142 569 1 001 312
Payments to suppliers, employees, other expenses arising
from basic operations
(1 171 418) (992 198)
Gross cash flow from basic operations (28 849) 9 114
Expenses for enterprise income tax payments (3) -
Net cash flow from operating activities (28 852) 9 114
Cash flow from investing activities
Purchase of fixed assets and intangible investments (52 812) (38 677)
Income from dispossession of fixed assets 5 266 6 264
Net cash flow from investing activities (47 546) (32 413)
Cash flow from financing activities
Subsidies received as a state support 5 521 5 910
Dividends paid (46 469) -
Net cash flow from financing activities (40 948) 5 910
Result of foreign exchange rate fluctuations (2 533) (1 473)
Net increase or decrease of cash and its equivalents (119 879) (18 862)
Cash and its equivalents balance at the beginning of the
reporting year 360 288 251 608
Cash and its equivalents balance at the end of the reporting
year
240 409 232 746

Chairman of the Management Board

Nils Ivars Feodorovs Sarmīte Arcimoviča Valda Mālniece Member of the Management Board

Member of the Management Board, Manager of the Financial and Accounting department

Statement on changes in shareholders' equity

Share
capital
Retained
earnings
carried forward
from previous
years
Profit of the
reporting year
Shareholders'
equity total
EUR EUR EUR EUR
31.12.2019 591 416 860 743 50 343 1 502 502
Profit of 2019 transferred to retained
earnings of previous years - 50 343 (50 343) -
Profit of the reporting year - - 128 212 128 212
30.09.2020 591 416 911 086 128 212 1 630 714
31.12.2020 591 416 911 086 104 068 1 606 570
Profit of 2020 transferred to retained
earnings of previous years - 104 068 (104 068) -
Dividends for 2020 - (46 469) - (46 469)
Profit of the reporting year - - 139 302 139 302
30.09.2021 591 416 968 685 139 302 1 699 403

Chairman of the Management Board

Nils Ivars Feodorovs Sarmīte Arcimoviča Valda Mālniece Member of the Management Board

Member of the Management Board, Manager of the Financial and Accounting department

Report on Management Liability

Based on information at the Management Board's possession the Financial information for the nine months of the year 2021 has been prepared according to the effective requirements of legislative enactments and provide a true and fair view of the joint stock company's 'Siguldas ciltslietu un mākslīgās apsēklošanas stacija' assets, liabilities, financial condition and profit, and the management report contains true information.

Financial information is prepared in accordance with the same item recognition and assessment principles which were used in the preparation of the annual report.

Financial information for the nine months of the year 2021 has not been audited by a sworn auditor.

Nils Ivars Feodorovs Sarmīte Arcimoviča Valda Mālniece

Chairman of the Management Board

Member of the Management Board, Manager of the Production and Marketing department

Member of the Management Board, Manager of the Financial and Accounting department

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