Earnings Release • Sep 16, 2020
Earnings Release
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(Amounts in thousand € unless otherwise stated)
The following data and information, resulting from the financial statements, aim at a general briefing on the financial position and results of "ADMIE HOLDING SA" . We therefore advise the reader, before making any investment or other transaction with the company, to refer to the company's web site where the financial statements and auditor's report are posted.
| GENERAL INFORMATION OF THE COMPANY | |||||||
|---|---|---|---|---|---|---|---|
| Offices: | Durraxiou 89, Athens | ||||||
| GEMI No: | 141287501000 | Members of the Board of Directors | |||||
| Date of approval for the FS from the Board of Directors | Agiakloglou Christos | Chairman and Managing Director |
|||||
| of the Annual Financial Statements (from which the condensed data were drawn): 16/09/2020 |
Iliopoulos Panagiotis | Vice Chairman | |||||
| Certified Auditor: | S. KOURTIS (Reg. No. 50601), V. PATEROMICHELAKIS (Reg No. 14421) | Angelopoulos Constantinos | Member | ||||
| Audit firm: | SOL. S.A. | Mikas Vasileios | Member | ||||
| Type of audit report: | Unqualified opinion | Drivas Konstantinos | Member | ||||
| Internet web-site: | www.admieholding.gr | Paligiannis Dimosthenis | Member | ||||
| 1.1 CONDENSED STATEMENT OF FINANCIAL POSITION | 1.4 CONDENSED CASH FLOW STATEMENT | ||||||
| Amounts in thousand € | Amounts in thousand € | Amounts in thousand € | Amounts in thousand € | ||
|---|---|---|---|---|---|
| 30.06.2020 | 31.12.2019 | 01.01.2020 - 30.06.2020 | 01.01.2019 - 30.06.2019 | ||
| ASSETS | |||||
| Tangible assets | 7 | 7 | Cash flow from operating activities | ||
| Right of use asset | 57 | 60 | Profit before tax: | 20.030 | 20.413 |
| Intangible assets | 3 | 4 | |||
| Investment that is accounted using the equity method | 698.318 | 704.553 | Adjustments for: | ||
| Other long-term receivables | - | - | Depreciation of non-current assets | 5 | 2 |
| Other receivables | 14.075 | 14.068 | Profit from Participation in Associated Companies (51% IPTO) | (20.064) | (20.417) |
| Cash and cash equivalents | 34.440 | 8.475 | Financial income | (141) | (172) |
| TOTAL ASSETS | 746.900 | 727.168 | Financial expenses | 2 | 1 |
| Other provisions | 6 | - | |||
| EQUITY AND LIABILITIES | Operating profit before working capital changes | (162) | (173) | ||
| Share capital | 491.616 | 491.840 | (Increase) /decrease in: Trade and Other receivables |
(8) | 4 |
| Legal reserve | 1.819 | 1.819 | Increase /(decrease) in: Trade payables |
(22) | (6) |
| Other reserves | 128.559 | 128.615 | Increase /(decrease) in: Other payables and accrued expenses |
3 | 1 |
| Retained Earnings | 124.826 | 104.796 | Increase /(decrease) in: Income tax paid |
290 | - |
| Total equity (a) | 746.820 | 727.070 | Total inputs / (outflows) from operating activities (a) | 101 | (174) |
| Other long-term liabilities | 60 | 56 | |||
| Trade and other liabilities | 20 | 42 | Cash flow from investing activities | ||
| Toral current liabilities (b) | 80 | 98 | Dividend received from IPTO | 26.243 | 21.827 |
| Purchase of non-current assets | (2) | (1) | |||
| 30.06.2020 | 31.12.2019 | 01.01.2020 - 30.06.2020 | 01.01.2019 - 30.06.2019 | ||
|---|---|---|---|---|---|
| ASSETS | |||||
| Tangible assets | 7 | 7 | Cash flow from operating activities | ||
| Right of use asset | 57 | 60 | Profit before tax: | 20.030 | 20.413 |
| Intangible assets | 3 | 4 | |||
| Investment that is accounted using the equity method | 698.318 | 704.553 | Adjustments for: | ||
| Other long-term receivables | - | - | Depreciation of non-current assets | 5 | 2 |
| Other receivables | 14.075 | 14.068 | Profit from Participation in Associated Companies (51% IPTO) | (20.064) | (20.417) |
| Cash and cash equivalents | 34.440 | 8.475 | Financial income | (141) | (172) |
| TOTAL ASSETS | 746.900 | 727.168 | Financial expenses | 2 | 1 |
| Other provisions | 6 | - | |||
| EQUITY AND LIABILITIES | Operating profit before working capital changes | (162) | (173) | ||
| Share capital | 491.616 | 491.840 | Trade and Other receivables (Increase) /decrease in: |
(8) | 4 |
| Legal reserve | 1.819 | 1.819 | Increase /(decrease) in: Trade payables |
(22) | (6) |
| Other reserves | 128.559 | 128.615 | Increase /(decrease) in: Other payables and accrued expenses |
3 | 1 |
| Retained Earnings | 124.826 | 104.796 | Increase /(decrease) in: Income tax paid |
290 | - |
| Total equity (a) | 746.820 | 727.070 | Total inputs / (outflows) from operating activities (a) | 101 | (174) |
| Other long-term liabilities | 60 | 56 | |||
| Trade and other liabilities | 20 | 42 | Cash flow from investing activities | ||
| Toral current liabilities (b) | 80 | 98 | Dividend received from IPTO | 26.243 | 21.827 |
| Purchase of non-current assets | (2) | (1) | |||
| TOTAL EQUITY AND LIABILITIES (a) + (b) | 746.900 | 727.168 | Total inflows / (outflows) from investing activities (b) | 26.241 | 21.826 |
| Cash flow from financing activities | |||||
| Own shares acquisition | (224) | - | |||
| Dividend paid | - | - | |||
| Interim dividend paid | (290) | - | |||
| Finance lease capital paid | (2) | - | |||
| Interest paid | (2) | (1) | |||
| 1.2 CONDENSED STATEMENT OF COMPREHENSIVE INCOME | Interest received from deposit in Bank of Greece | 141 | 120 | ||
| Total inflows / (outflows) from financing activities (c) | (377) | 119 | |||
| Amounts in thousand € | Amounts in thousand € | Net increase / (decrease) in cash and cash equivalents (a) + (b) + (c) | 25.965 | 21.771 |
Cash and cash equivalents at the end of the period 34.440 26.614
01.01.2020 - 30.06.2020 01.01.2019 - 30.06.2019 Cash and cash equivalents at the beginning of the period 8.475 4.843 Revenue 20.064 20.417 19.891 20.242 Profit before tax 20.030 20.413 Net profit for the period 20.030 20.413 Additional data and information Other comprehensive income for the period (56) (147) Total comprehensive income for the period 19.974 20.266 2. During the current period the average number of employees were 3. Earning per share - basic (in €) 0,09 0,09 3. There were no transactions with related parties during the period apart from those mentioned in Note 16. Amounts in thousand € Balance as at 01.01.2019 566.689 Net profit for the period 53.740 Other comprehensive income 120.581 Dividend paid (13.940) Balance as at 31.12.2019 727.070 1.3 CONDENSED RESTATED STATEMENT OF CHANGES IN EQUITY Amounts in thousand € 1.2 CONDENSED STATEMENT OF COMPREHENSIVE INCOME Amounts in thousand € Profit before taxes, financing, investment results and total depreciation (EBITDA)
1.The accounting principles of 2020 are set out in Note 2 of the Interim Financial Report for the period 01.01.2020 - 30.06.2020.
Balance as at 01.01.2020 727.070 Own shares acquisition (224) Net profit for the period 20.030 Other comprehensive income (56) Balance as at 30.06.2020 746.820 Athens, 16th September 2020
CHAIRMAN OF THE BOD AND MANAGING DIRECTOR VICE PRESIDENT OF THE BOD HEAD OF THE ACCOUNTING DEPARTMENT
1494
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