Interim / Quarterly Report • Aug 10, 2023
Interim / Quarterly Report
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SEPARATE FINANCIAL STATEMENTS
PREPARED IN ACCORDANCE WITH INTERNATIONAL FINANCIAL REPORTING STANDARDS AS OF JUNE 30, 2023
| June 30, 2023 |
December 31, 2022 |
|
|---|---|---|
| ASSETS: | ||
| Plant in service Less accumulated depreciation and impairment |
525,272 (303,799) |
514,654 (287,171) |
| Net plant in service | 221,473 | 227,483 |
| Nuclear fuel, at amortized cost Construction work in progress, net |
11,816 16,630 |
11,873 13,473 |
| Total property, plant and equipment | 249,919 | 252,829 |
| Restricted financial assets, net Other non-current financial assets, net Intangible assets, net Investment properties, net Deferred tax assets |
16,962 175,029 1,364 441 - |
15,215 157,686 1,143 437 47,885 |
| Total other non-current assets | 193,796 | 222,366 |
| Total non-current assets | 443,715 | 475,195 |
| Cash and cash equivalents, net Trade receivables, net Materials and supplies, net Fossil fuel stocks Emission rights Other current financial assets, net Other current assets, net |
120,867 56,388 11,481 1,773 5,634 158,614 13,951 |
33,012 169,773 16,028 300 21,216 304,894 8,582 |
| Total current assets | 368,708 | 553,805 |
| Total assets | 812,423 | 1,029,000 |
| June 30, 2023 |
December 31, 2022 |
|
|---|---|---|
| EQUITY AND LIABILITIES: | ||
| Stated capital | 53,799 | 53,799 |
| Treasury shares | (1,334) | (1,334) |
| Retained earnings and other reserves | 112,256 | 145,975 |
| Total equity | 164,721 | 198,440 |
| Long-term debt, net of current portion | 113,330 | 132,739 |
| Provisions | 126,919 | 122,067 |
| Other long-term financial liabilities | 13,353 | 38,659 |
| Deferred tax liability | 20,643 | - |
| Total non-current liabilities | 274,245 | 293,465 |
| Short-term loans | 26,700 | 52,933 |
| Current portion of long-term debt | 26,935 | 8,034 |
| Trade payables | 33,183 | 76,525 |
| Income tax payable | 14,508 | 15,117 |
| Provisions | 13,328 | 21,515 |
| Other short-term financial liabilities | 248,672 | 358,311 |
| Other short-term liabilities | 10,131 | 4,660 |
| Total current liabilities | 373,457 | 537,095 |
| Total equity and liabilities | 812,423 | 1,029,000 |
| 1-6/2023 | 1-6/2022 | 4-6/2023 | 4-6/2022 | |
|---|---|---|---|---|
| Sales of electricity, heat and gas Sales of services and other revenues Other operating income |
107,071 5,226 403 |
80,771 5,756 4,801 |
40,510 2,565 282 |
30,406 3,056 387 |
| Total revenues and other operating income | 112,700 | 91,328 | 43,357 | 33,849 |
| Gains and losses from commodity derivative trading Purchase of electricity, gas and other |
7,385 | 15,840 | 5,520 | 2,802 |
| energies | (38,232) | (35,979) | (15,883) | (14,836) |
| Fuel and emission rights | (17,165) | (17,790) | (7,280) | (8,300) |
| Services | (4,742) | (4,141) | (2,763) | (2,357) |
| Salaries and wages | (4,630) | (4,133) | (2,586) | (2,228) |
| Materials and supplies | (1,232) | (1,121) | (662) | (631) |
| Capitalization of expenses to the cost of assets and change in own inventories |
89 | 77 | 45 | 39 |
| Depreciation and amortization | (9,623) | (8,522) | (4,841) | (4,265) |
| Impairment of property, plant and equipment | ||||
| and intangible assets | (1) | (2) | (1) | (2) |
| Impairment of trade and other receivables Other operating expenses |
57 (12,160) |
(14) (833) |
14 (1,616) |
(12) (454) |
| Income before other income (expenses) and | ||||
| income taxes | 32,446 | 34,710 | 13,304 | 3,605 |
| Interest on debt, net of capitalized interest | (5,330) | (2,345) | (2,559) | (1,247) |
| Interest on provisions | (3,150) | (1,112) | (1,575) | (556) |
| Interest income | 4,847 | 1,496 | 2,810 | 950 |
| Impairment of financial assets | 241 | 45 | 187 | 50 |
| Other financial expenses | (386) | (1,718) | (98) | 657 |
| Other financial income | 13,088 | 8,360 | 11,652 | 7,932 |
| Total other income (expenses) | 9,310 | 4,726 | 10,417 | 7,786 |
| Income before income taxes | 41,756 | 39,436 | 23,721 | 11,391 |
| Income taxes | (18,920) | (6,034) | (7,261) | (701) |
| Net income | 22,836 | 33,402 | 16,460 | 10,690 |
| 1-6/2023 | 1-6/2022 | 4-6/2023 | 4-6/2022 | |
|---|---|---|---|---|
| Net income | 22,836 | 33,402 | 16,460 | 10,690 |
| Change in fair value of cash flow hedges Cash flow hedges reclassified to statement |
54,075 | (109,902) | 6,349 | (68,189) |
| of income | 15,323 | 31,260 | 4,615 | 16,591 |
| Change in fair value of debt financial instruments |
885 | (1,172) | 476 | (636) |
| Deferred tax related to other comprehensive income |
(49,547) | 15,165 | (7,562) | 9,925 |
| Net other comprehensive income that may | ||||
| be reclassified to statement of income or to assets in subsequent periods |
20,736 | (64,649) | 3,878 | (42,309) |
| Total comprehensive income, net of tax | 43,572 | (31,247) | 20,338 | (31,619) |
| Stated capital | Treasury shares |
Cash flow hedge reserve |
Debt financial instruments |
Equity financial instruments and other reserves |
Retained earnings |
Total equity |
|
|---|---|---|---|---|---|---|---|
| Balance as at January 1, 2022 | 53,799 | (1,423) | (67,248) | (652) | (1,687) | 133,639 | 116,428 |
| Net income Other comprehensive income |
- - |
- - |
- (63,700) |
- (949) |
- - |
33,402 - |
33,402 (64,649) |
| Total comprehensive income | - | - | (63,700) | (949) | - | 33,402 | (31,247) |
| Dividends Sale of treasury shares Exercised and forfeited share options |
- - - |
- 69 - |
- - - |
- - - |
- - (3) |
(25,767) (37) 3 |
(25,767) 32 - |
| Balance as at June 30, 2022 |
53,799 | (1,354) | (130,948) | (1,601) | (1,690) | 141,240 | 59,446 |
| Balance as at January 1, 2023 | 53,799 | (1,334) | (22,429) | (1,300) | (1,987) | 171,691 | 198,440 |
| Net income Other comprehensive income |
- - |
- - |
- 20,008 |
- 728 |
- - |
22,836 - |
22,836 20,736 |
| Total comprehensive income | - | - | 20,008 | 728 | - | 22,836 | 43,572 |
| Effect of business combination Dividends |
- - |
- - |
- - |
- - |
95 - |
452 (77,838) |
547 (77,838) |
| Balance as at June 30, 2023 |
53,799 | (1,334) | (2,421) | (572) | (1,892) | 117,141 | 164,721 |
| 1-6/2023 | 1-6/2022 | |
|---|---|---|
| OPERATING ACTIVITIES: | ||
| Income before income taxes | 41,756 | 39,436 |
| Adjustments of income before income taxes to cash generated from operations: |
||
| Depreciation and amortization | 9,623 | 8,522 |
| Amortization of nuclear fuel | 1,889 | 1,930 |
| (Gains) and losses on non-current asset retirements | 97 | (74) |
| Foreign exchange rate loss (gain) | 101 | 1,665 |
| Interest expense, interest income and dividend income | (11,653) | (6,597) |
| Provisions | (7,721) | 2,044 |
| Impairment of property, plant and equipment and intangible | ||
| assets | 1 | 2 |
| Other non-cash expenses and income | 14,449 | 31,991 |
| Changes in assets and liabilities: | ||
| Receivables and contract assets | 103,649 | 10,609 |
| Materials, supplies and fossil fuel stocks | 3,959 | (7,035) |
| Receivables and payables from derivatives | (11,753) | (32,570) |
| Other assets | 22,414 | 6,064 |
| Trade payables | (40,555) | (21,550) |
| Other liabilities | 5,464 | 723 |
| Cash from operations | 131,720 | 35,160 |
| Income taxes paid | (1,032) | (18) |
| Interest paid, net of capitalized interest | (6,294) | (2,767) |
| Interest received | 4,600 | 1,204 |
| Net cash flow from operating activities | 128,994 | 33,579 |
| INVESTING ACTIVITIES: | ||
| Acquisition of subsidiaries, associates and joint-ventures Proceeds from disposal of subsidiaries, associates and joint |
(7,764) | (2,381) |
| ventures and original investments repayments | 235 | 512 |
| Additions to non-current assets, including capitalized interest | (8,506) | (5,254) |
| Proceeds from sale of non-current assets | 152 | 414 |
| Loans made | (5,147) | - |
| Repayments of loans | 7,545 | 981 |
| Change in restricted financial assets | (1,144) | (1,022) |
| Net cash flow from investing activities | (14,629) | (6,750) |
continued
| 1-6/2023 | 1-6/2022 | |
|---|---|---|
| FINANCING ACTIVITIES: | ||
| Proceeds from borrowings Payments of borrowings Payments of lease liabilities Proceeds from other long-term liabilities Payments of other long-term liabilities Change in payables/receivables from Group cashpooling Dividends paid Sale of treasury shares |
65,984 (87,858) (115) 3 (1,811) (1,978) (133) - |
101,931 (106,553) (88) 16 (1) (1,498) (71) 32 |
| Net cash flow from financing activities | (25,908) | (6,232) |
| Net effect of currency translation and allowances in cash | (602) | (64) |
| Net increase in cash and cash equivalents | 87,855 | 20,533 |
| Cash and cash equivalents at beginning of period | 33,012 | 20,804 |
| Cash and cash equivalents at end of period | 120,867 | 41,337 |
| Supplementary cash flow information: | ||
| Total cash paid for interest | 6,560 | 2,934 |
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