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CEZ A.S.

Annual / Quarterly Financial Statement May 14, 2024

1042_rns_2024-05-14_4f1ffa21-b497-49ee-a16e-cd1e8984f23c.pdf

Annual / Quarterly Financial Statement

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ČEZ, a. s.

SEPARATE FINANCIAL STATEMENTS

PREPARED IN ACCORDANCE WITH IFRS ACCOUNTING STANDARDS AS ADOPTED BY EUROPEAN UNION AS OF MARCH 31, 2024

ČEZ, a. s. BALANCE SHEET AS OF MARCH 31, 2024

March 31,
2024
December 31,
2023
ASSETS:
Plant in service
Less accumulated depreciation and impairment
546,392
(316,641)
545,946
(311,853)
Net plant in service 229,751 234,093
Nuclear fuel
Construction work in progress
15,155
14,955
16,002
13,457
Total property, plant and equipment 259,861 263,552
Restricted financial assets
Other non-current financial assets
Intangible assets
Investment properties
18,257
188,711
1,694
381
18,224
182,991
1,705
382
Total other non-current assets 209,043 203,302
Total non-current assets 468,904 466,854
Cash and cash equivalents
Trade and other receivables
Income tax receivable
Materials and supplies
Fossil fuel stocks
Emission rights
Derivatives and other current financial assets
Other current assets
37,984
46,816
2,613
10,501
1,604
18,900
114,122
12,862
5,680
86,885
2
10,488
2,056
23,196
126,010
4,795
Total current assets 245,402 259,112
Total assets 714,306 725,966

ČEZ, a. s. BALANCE SHEET AS OF MARCH 31, 2024

continued

March 31,
2024
December 31,
2023
EQUITY AND LIABILITIES:
Stated capital
Treasury shares
Retained earnings and other reserves
53,799
(1,334)
138,032
53,799
(1,334)
129,117
Total equity 190,497 181,582
Long-term debt, net of current portion
Provisions
Other long-term financial liabilities
Deferred tax liability
124,712
144,322
2,867
32,636
122,644
143,009
4,363
28,116
Total non-current liabilities 304,537 298,132
Short-term loans
Current portion of long-term debt
Trade payables
Income tax payable
Provisions
Derivatives and other short-term financial liabilities
Other short-term liabilities
11,203
30,872
24,812
-
26,281
122,852
3,252
7,240
29,456
45,654
356
20,677
139,881
2,988
Total current liabilities 219,272 246,252
Total equity and liabilities 714,306 725,966

ČEZ, a. s. STATEMENT OF INCOME FOR THE THREE MONTHS ENDED MARCH 31, 2024

1-3/2024 1-3/2023
Sales of electricity, heat and gas
Sales of services and other revenues
Other operating income
51,271
2,035
238
66,561
2,661
121
Total revenues and other operating income 53,544 69,343
Gains and losses from commodity derivative trading
Purchase of electricity, gas and other energies
Fuel and emission rights
Services
Salaries and wages
Materials and supplies
Capitalization of expenses to the cost of assets and change
in own inventories
Depreciation and amortization
Impairment of trade and other receivables
Other operating expenses
1,449
(11,981)
(10,475)
(2,587)
(2,523)
(617)
56
(4,900)
11
(465)
1,865
(22,349)
(9,885)
(1,979)
(2,044)
(570)
44
(4,782)
43
(10,544)
Income before other income (expenses) and income taxes 21,512 19,142
Interest on debt
Interest on provisions
Interest income
Impairment of financial assets
Other financial expenses
Other financial income
(2,211)
(1,758)
1,241
(7)
(497)
588
(2,771)
(1,575)
2,037
54
(288)
1,436
Total other income (expenses) (2,644) (1,107)
Income before income taxes 18,868 18,035
Income taxes (13,324) (11,659)
Net income 5,544 6,376

ČEZ, a. s. STATEMENT OF COMPREHENSIVE INCOME FOR THE THREE MONTHS ENDED MARCH 31, 2024

1-3/2024 1-3/2023
Net income 5,544 6,376
Change in fair value of cash flow hedges 13,495 47,726
Cash flow hedges reclassified to statement of income (5,657) 10,708
Change in fair value of debt financial instruments (134) 409
Deferred tax related to other comprehensive income (4,333) (41,985)
Net other comprehensive income that may be reclassified to 3,371 16,858
statement of income or to assets in subsequent periods
Total comprehensive income, net of tax 8,915 23,234

ČEZ, a. s. STATEMENT OF CHANGES IN EQUITY FOR THE THREE MONTHS ENDED MARCH 31, 2024

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, 2023 53,799 (1,334) (22,429) (1,300) (1,987) 171,691 198,440
Net income
Other comprehensive income
-
-
-
-
-
16,525
-
333
-
-
6,376
-
6,376
16,858
Total comprehensive income - - 16,525 333 - 6,376 23,234
Effect of business combination - - - - 95 451 546
Balance as at March 31, 2023 53,799 (1,334) (5,904) (967) (1,892) 178,518 222,220
Balance as at January 1, 2024 53,799 (1,334) 8,478 301 (2,195) 122,533 181,582
Net income
Other comprehensive income
-
-
-
-
-
3,519
-
(148)
-
-
5,544
-
5,544
3,371
Total comprehensive income - - 3,519 (148) - 5,544 8,915
Balance as at
March 31, 2024
53,799 (1,334) 11,997 153 (2,195) 128,077 190,497

ČEZ, a. s. STATEMENT OF CASH FLOWS FOR THE THREE MONTHS ENDED MARCH 31, 2024

1-3/2024 1-3/2023
OPERATING ACTIVITIES:
Income before income taxes 18,868 18,035
Adjustments of income before income taxes to cash
generated from operations:
Depreciation and amortization 4,900 4,782
Amortization of nuclear fuel 947 1,051
(Gains) and losses on non-current asset retirements 1 4
Foreign exchange rate loss (gain) (502) 163
Interest expense, interest income and dividend income 970 734
Provisions 6,775 5,140
Other non-cash expenses and income (4,458) 7,655
Changes in assets and liabilities:
Receivables and contract assets 32,952 63,179
Materials, supplies and fossil fuel stocks 445 5,897
Receivables and payables from derivatives 4,846 (7,877)
Other assets 3,531 2,438
Trade payables (19,444) (25,721)
Other liabilities 289 3,440
Cash from operations 50,120 78,920
Income taxes paid (16,105) (511)
Interest paid, net of capitalized interest (1,558) (2,541)
Interest received 979 1,837
Net cash flow from operating activities 33,436 77,705
INVESTING ACTIVITIES:
Acquisition of subsidiaries, associates and joint-ventures
Proceeds from disposal of subsidiaries, associates and joint
(500) (6,863)
ventures and original investments repayments 31 1
Additions to non-current assets, including capitalized interest (3,542) (3,738)
Proceeds from sale of non-current assets 59 115
Loans made (35) (5,146)
Repayments of loans 305 6,586
Change in restricted financial assets (179) (168)
Net cash flow from investing activities (3,861) (9,213)

ČEZ, a. s. STATEMENT OF CASH FLOWS FOR THE THREE MONTHS ENDED MARCH 31, 2024

continued

1-3/2024 1-3/2023
FINANCING ACTIVITIES:
Proceeds from borrowings
Payments of borrowings
Payments of lease liabilities
Payment of other long-term liabilities
Change in payables/receivables from Group cashpooling
Dividends paid
31,609
(28,478)
(69)
(72)
(74)
(135)
45,182
(60,861)
(56)
(3)
154
(105)
Net cash flow from financing activities 2,781 (15,689)
Net effect of currency translation and allowances in cash (52) (642)
Net increase in cash and cash equivalents 32,304 52,161
Cash and cash equivalents at beginning of period 5,680 33,012
Cash and cash equivalents at end of period 37,984 85,173
Supplementary cash flow information:
Total cash paid for interest
1,630 2,637

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