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5624_rns_2020-05-15_17b40bec-9033-4f65-8c82-750bdc9d9a08.pdf

Earnings Release

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SELECTED CONSOLIDATED FINANCIAL DATA OF THE GIEŁDA PAPIERÓW WARTOŚCIOWYCH W WARSZAWIE S.A. GROUP

Selected data in the statement of comprehensive income, consolidated, under IFRS, not audited

3-month period ended 31 March
2020 2019 2020 2019
PLN'000 EUR'000 [1]
Sales revenue 97 039 84 156 22 449 19 557
Financial market 58 719 49 486 13 584 11 500
Trading 41 512 32 015 9 603 7 440
Listing 5 371 5 271 1 243 1 225
Information services and revenue from calculation of reference rates 11 836 12 200 2 738 2 835
Commodity market 38 149 34 550 8 825 8 029
Trading 18 912 15 906 4 375 3 696
Register of certificates of origin 5 864 7 604 1 357 1 767
Clearing 13 082 10 871 3 026 2 526
Information services 291 169 67 39
Other revenue 171 120 40 28
Operating expenses 56 061 54 322 12 969 12 624
Other income 1 238 1 330 286 309
Gains on reversed impairment/(losses) on impairment of receivables (1 061) (1 131) (245) (263)
Other expenses 866 654 200 152
Operating profit 40 289 29 379 9 321 6 827
Financial income 4 278 2 095 990 487
Financial expenses 9 101 2 115 2 105 491
Gains on investment/(losses) on impairment of investment in other
entities
- - - -
Share of profit/(losses) of entities measured by equity method 1 981 989 458 230
Profit before income tax 37 447 30 348 8 663 7 052
Income tax 8 180 5 896 1 892 1 370
Profit for the period 29 267 24 452 6 771 5 682
Basic / Diluted earnings per share[2] (PLN, EUR) 0,70 0,58 0,16 0,13
EBITDA[3] 50 049 38 566 11 579 8 962

[1] Based on the 3M average EUR/PLN exchange rate published by the National Bank of Poland (1 EUR = 4.3226 PLN in 2020 and 1 EUR = 4.3032 PLN in 2019)

[2] Based on total net profit

[3] EBITDA = operating profit + depreciation and amortisation

Selected data in the statement of financial position, consolidated, under IFRS, not audited

As at
31 March
2020
31 December
2019
31 March
2020
31 December
2019
PLN'000 EUR'000 [1]
Non-current assets 587 842 590 114 129 131 138 573
Property, plant and equipment 98 234 101 968 21 579 23 945
Right-to-use assets 21 323 22 725 4 684 5 336
Intangible assets 246 011 246 649 54 041 57 919
Investment in entities measured by equity method 211 737 210 327 46 512 49 390
Investment in non-consolidated subsidiaries 4 000 4 000 879 939
Subleasing receivables 566 523 124 123
Deferred tax assets 2 844 464 625 109
Financial assets measured at fair value through other comprehensive
income
113 120 25 28
Prepayments 1 719 2 043 378 480
Other non-current assets 1 295 1 295 284 304
Current assets 740 208 666 680 162 601 156 553
Inventories 13 47 3 11
Corporate income tax receivable - 4 132 - 970
Trade and other receivables 68 068 45 232 14 952 10 622
Subleasing receivables 239 190 53 45
Contract assets 1 856 2 415 408 567
Financial assets measured at amortised cost 243 280 328 998 53 441 77 257
Other current assets 4 397 4 382 966 1 029
Cash and cash equivalents 422 355 281 284 92 778 66 052
TOTAL ASSETS 1 328 050 1 256 794 291 732 295 126
Equity of the shareholders of the parent entity 900 965 872 881 197 914 204 974
Non-controlling interests 612 605 134 142
Non-current liabilities 276 854 283 502 60 816 66 573
Current liabilities 149 619 99 807 32 867 23 437
TOTAL EQUITY AND LIABILITIES 1 328 050 1 256 794 291 732 295 126

[1] Based on the average EUR/PLN exchange rate of the National Bank of Poland as at 31.03.2020 (1 EUR = 4,5523 PLN) and 31.12.2019 (1 EUR = 4.2585 PLN).

Selected financial ratios of the Group

Year ended/ As at
31 March 2020 31 March 2019
EBITDA margin (EBITDA/Sales revenue) 51,6% 45,8%
Operating profit margin (Operating profit/Sales revenue) 41,5% 34,9%
Return on quity (ROE) (Net profit for the last 12 months / Average equity at the beginning and
at the end of the last 12 month period
13,7% 20,5%
Debt to equity (Interest-bearing liabilities [1] /Equity) 29,6% 29,7%

[1] interest and principal payable

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