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Columbus Energy S.A.

Report Publication Announcement Nov 29, 2019

6303_rns_2019-11-29_22235a72-8e53-4025-be61-6a1d0b62e659.pdf

Report Publication Announcement

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Unaudited interim consolidated financial report for 1Q FY2020

Current report no. 24/2019 Dated November 29, 2019

The Board of Directors of Coal Energy S.A. (the "Company") hereby releases the unaudited interim consolidated financial report of the Coal Energy's Group for three months ended September 30, 2019.

The report is also available on the Company's website in Investor Relations section.

The 1Q FY2020 of Coal Energy S.A. commenced on the 1st July 2019 and ended on the 30th September 2019.

Selected financial data (unaudited) / Wybrane dane finansowe (niezaudytowane)

in US\$ thousand w tys. US\$ 3 months ended
30th September 2019
1Q FY2020
3 months ended
30th September
2018
1Q FY2019
Revenue Przychody ze sprzedaży netto 2,707 3,443
Operating profit Wynik operacyjna 301 (360)
Loss before tax Strata brutto 2,231 (6,416)
Loss for the period Strata netto 2,231 (6,329)
Loss for the period attributable to
equity holders of the parent
Strata netto przypadająca na
akcjonariuszy jednostki
dominującej
2,119 (6,277)
in US\$ thousand w tys. US\$ 30th September
2019
30th June
2019
Non-current assets Aktywa trwałe 38,737 33,803
Inventories Zapasy 29,397 24,443
Trade and other receivables Należności handlowe i inne 18,293 19,971
Cash and cash equivalents Środki pieniężne i ich
ekwiwalenty
7 7
Current assets Aktywa obrotowe 48,479 45,480
Share capital Kapitał zakładowy 450 450
Total equity Kapitał własny 73,633 67,149
Non-current loans and borrowings Kredyty i pożyczki
długoterminowe
- 3,502
Non-current liabilities Zobowiązania długoterminowe 16,787 18,047
Current loans and borrowings Kredyty i pożyczki
krótkoterminowe
70,598 66,382
Trade and other payables Zobowiązania handlowe i inne
krótkoterminowe
65,087 53,997
Current liabilities Zobowiązania krótkoterminowe 144,062 128,385
Total liabilities Zobowiązania ogółem 160,849 146,432
Total assets Aktywa ogółem 87,216 79,283
in US\$ thousand w tys. US\$ 3 months ended
30th September
2019
1Q FY2020
3 months ended
30th September
2018
1Q FY2019
Net cash from operating activity Przepływy pieniężne netto z
działalności operacyjnej
55 143
Net cash from investing activity Przepływy pieniężne netto z
działalności inwestycyjnej
(55) (143)
Net cash from financing activity Przepływy pieniężne netto z
działalności finansowej
- -

Signatures of individuals authorized to represent the Company: Elena Belousova

Legal grounds: Art. 56 of the Polish Act of 29 July 2005 on the public offering, conditions governing the introduction of financial instruments to organized trading system and on public companies, and Art 5. of the Luxembourg Act of 11 January 2008 on transparency obligations of securities issuers, as amended.

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