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CEZ A.S.

Quarterly Report Aug 9, 2016

1042_rns_2016-08-09_decca2a9-f345-4860-b968-499e79712970.pdf

Quarterly Report

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BALANCE SHEET

in CZK Millions in accordance with IFRS as of June 30, 2016

30. 6. 2016 31. 12. 2015
Assets
Property, plant and equipment:
Plant in service 347,624 346,203
Less accumulated depreciation and impairment (210,665) (204,187)
Net plant in service
Nuclear fuel, at amortized cost
136,959
13,065
142,016
12,832
Construction work in progress, net 89,429 85,909
Total property, plant and equipment 239,453 240,757
Other non-current assets:
Restricted financial assets 13,166 12,662
Investments and other financial assets, net 189,537 178,692
Intangible assets, net 476 560
Total other non-current assets 203,179 191,914
Total non-current assets 442,632 432,671
Current assets:
Cash and cash equivalents 11,624 2,964
Receivables, net 44,739 41,538
Income tax receivable 597
Materials and supplies, net 5,087 5,134
Fossil fuel stocks 411 564
Emission rights 894 1,874
Other financial assets, net 29,836 32,489
Other current assets 1,094 1,146
Total current assets 94,282 85,709
Total assets 536,914 518,380
Equity and liabilities
Equity:
Stated capital
Treasury shares
53,799
(4,246)
53,799
(4,246)
Retained earnings and other reserves 165,187 171,016
Total equity 214,740 220,569
Non-current liabilities:
Long-term debt, net of current portion 134,598 124,922
Provisions 49,423 49,716
Deferred tax liability 11,435 11,143
Other long-term liabilities 4,092 3,886
Total non-current liabilities 199,548 189,667
Current liabilities:
Short-term loans 4,453 10
Current portion of long-term debt 2,127 10,628
Trade and other payables 109,433 87,114
Income tax payable 165
Provisions 2,956 4,195
Accrued liabilities 3,657 6,032
Total current liabilities 122,626 108,144
Total equity and liabilities 536,914 518,380

STATEMENT OF INCOME

in CZK Millions in accordance with IFRS as of June 30, 2016

4-6/2016 1-6/2016 4-6/2015 1-6/2015
Sales of electricity 16,183 33,635 16,833 36,225
Sales of gas, heat and other revenues 1,540 4,123 2,109 5,206
Other operating income 50 451 241 482
Total revenues and other operating income 17,773 38,209 19,183 41,913
Gains and losses from commodity derivative trading, net (723) 796 91 (807)
Fuel (2,227) (5,113) (2,392) (5,343)
Purchased power and related services (7,464) (15,511) (6,998) (14,446)
Repairs and maintenance (546) (897) (476) (854)
Depreciation and amortization (3,680) (7,344) (3,685) (7,307)
Impairment of property, plant and equipment and
intangible assets (1) 1 -
Salaries and wages (1,382) (2,643) (1,343) (2,651)
Materials and supplies (359) (663) (320) (639)
Emission rights, net (80) 283 (8) 372
Other operating expenses (1,695) (3,079) (1,784) (3,452)
Income before other income (expenses) and income taxes (384) 4,039 2,268 6,786
Interest on debt, net of capitalized interest (494) (1,000) (781) (1,601)
Interest on provisions (319) (637) (364) (728)
Interest income 235 480 275 585
Foreign exchange rate gains (losses), net (530) (728) 317 (488)
Other financial expenses (10,033) (9,919) (2) (33)
Other financial income 25,114 25,129 22,725 22,881
Total other income (expenses) 13,973 13,325 22,170 20,616
Income before income taxes 13,589 17,364 24,438 27,402
Income taxes 82 (586) (527) (1,130)
Net income 13,671 16,778 23,911 26,272

STATEMENT OF COMPREHENSIVE INCOME

in accordance with IFRS as of June 30, 2016

in CZK Millions

4-6/2016 1-6/2016 4-6/2015 1-6/2015
Net income 13,671 16,778 23,911 26,272
Other comprehensive income - items that may be reclassified
subsequently to statement of income or to assets:
Change in fair value of cash flow hedges recognized
in equity
(2,924) (1,288) 1,298 5,914
Cash flow hedges reclassified to income statement
Change in fair value of available-for-sale financial
(859) (266) 1,529 (1,611)
assets recognized in equity (29) 10 (832) (676)
Deferred tax related to other comprehensive income 725 294 (379) (689)
Other comprehensive income, net of tax (3,087) (1,250) 1,616 2,938
Total comprehensive income 10,584 15,528 25,527 29,210

STATEMENT OF CHANGES IN EQUITY

in accordance with IFRS as of June 30, 2016

in CZK Millions

Stated
Capital
Treasury
Shares
Cash flow
hedge reserve
Available-for
sale and other
reserves
Retained
Earnings
Total
Equity
December 31, 2014 53,799 (4,382) (8,008) 1,304 163,419 206,132
Net income 26,272 26,272
Other comprehensive income 3,485 (547) 2,938
Total comprehensive income - - 3,485 (547) 26,272 29,210
Dividends (21,370) (21,370)
Sale of treasury shares 136 (68) 68
Share options 15 15
Transfer of forfeited share
options within equity
(44) 44 -
June 30, 2015 53,799 (4,246) (4,523) 728 168,297 214,055
December 31, 2015 53,799 (4,246) (121) 925 170,212 220,569
Net income 16,778 16,778
Other comprehensive income (1,259) 9 (1,250)
Total comprehensive income - - (1,259) 9 16,778 15,528
Dividends (21,369) (21,369)
Share options
Transfer of exercised and forfeited share
12 12
options within equity (21) 21 -
June 30, 2016 53,799 (4,246) (1,380) 925 165,642 214,740

STATEMENT OF CASH FLOWS

in CZK Millions in accordance with IFRS as of June 30, 2016

1-6/2016 1-6/2015
Operating activities:
Income before income taxes 17,364 27,402
Adjustments to reconcile income before income taxes to net cash
provided by operating activities:
Depreciation and amortization 7,344 7,307
Amortization of nuclear fuel 1,870 1,822
Gain (loss) on non-current assets retirements, net (18) (176)
Foreign exchange rate losses (gains), net 728 488
Interest expense, interest income and dividends income, net (14,629) (20,623)
Provisions (1,672) (3,738)
Impairment of property, plant and equipment and intangible assets (1)
Other impairment and other adjustments 740 221
Changes in assets and liabilities:
Receivables 5,036 10,388
Materials, supplies and fossil fuel stocks 48 935
Receivables and payables from derivatives 583 2,218
Other current assets 2,680 931
Trade and other payables (3,896) (4,167)
Accrued liabilities (1,563) (5,057)
Cash generated from operations 14,614 17,951
Income taxes paid (761) (551)
Interest paid, net of capitalized interest (1,222) (2,112)
Interest received 520 682
Dividends received 3,652 4,597
Net cash provided by operating activities 16,803 20,567
Investing activities:
Acquisition of subsidiaries, associates and joint-ventures and refunds 373
Proceeds (refunds) from disposal of subsidiaries, associates and joint-ventures
Additions to non-current assets, including capitalized interest
9,202
(12,870)
314
(9,341)
Proceeds from sale of non-current assets 32 23
Loans made (8,796) (4,274)
Repayments of loans 1,068 5,646
Change in restricted financial assets (494) (529)
Total cash used in investing activities (11,858) (7,788)
Financing activities:
Proceeds from borrowings 23,813 31,258
Payments of borrowings (23,994) (49,144)
Proceeds from other long-term liabilities 57
Payments of other long-term liabilities (679)
Change in payables/receivables from group cashpooling 4,573 4,553
Dividends paid (48) (44)
Sale of treasury shares 68
Net cash used in financing activities 3,665 (13,252)
Net effect of currency translation in cash 50 (252)
Net increase (decrease) in cash and cash equivalents 8,660 (725)
Cash and cash equivalents at beginning of period 2,964 9,511
Cash and cash equivalents at end of period 11,624 8,786
Supplementary cash flow information
Total cash paid for interest 3,549 4,549

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