Annual / Quarterly Financial Statement • May 15, 2025
Annual / Quarterly Financial Statement
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SEPARATE FINANCIAL STATEMENTS
PREPARED IN ACCORDANCE WITH IFRS ACCOUNTING STANDARDS AS ADOPTED BY THE EUROPEAN UNION AS OF MARCH 31, 2025
| March 31, 2025 |
December 31, 2024 |
|
|---|---|---|
| ASSETS: | ||
| Plant in service Less accumulated depreciation and impairment |
564,671 (337,537) |
562,571 (330,620) |
| Net plant in service | 227,134 | 231,951 |
| Nuclear fuel Construction work in progress |
19,684 20,427 |
20,574 19,684 |
| Total property, plant and equipment | 267,245 | 272,209 |
| Restricted financial assets Other non-current financial assets Intangible assets Investment properties |
20,154 195,150 1,990 438 |
20,049 195,499 1,969 440 |
| Total other non-current assets | 217,732 | 217,957 |
| Total non-current assets | 484,977 | 490,166 |
| Cash and cash equivalents Trade and other receivables Materials and supplies Fossil fuel stocks Emission rights Derivatives and other current financial assets Other current assets Assets classified as held for sale |
53,410 47,287 10,021 370 24,436 50,058 12,455 1,356 |
32,868 56,047 11,853 1,180 24,532 59,780 14,859 1,356 |
| Total current assets | 199,393 | 202,475 |
| Total assets | 684,370 | 692,641 |
| March 31, 2025 |
December 31, 2024 |
|
|---|---|---|
| EQUITY AND LIABILITIES: | ||
| Stated capital Treasury shares Retained earnings and other reserves |
53,799 (1,334) 117,390 |
53,799 (1,334) 113,335 |
| Total equity | 169,855 | 165,800 |
| Long-term debt, net of current portion Provisions Other long-term financial liabilities Deferred tax liability |
146,419 162,585 6,078 10,378 |
148,667 159,707 7,982 18,582 |
| Total non-current liabilities | 325,460 | 334,938 |
| 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 |
6,103 24,846 25,679 8,410 34,177 88,243 1,597 |
2,199 24,173 30,723 852 26,349 106,649 958 |
| Total current liabilities | 189,055 | 191,903 |
| Total equity and liabilities | 684,370 | 692,641 |
| 1-3/2025 | 1-3/2024 | |
|---|---|---|
| Sales of electricity, heat and gas Sales of services and other revenues Other operating income |
50,459 2,023 306 |
51,271 2,035 238 |
| Total revenues and other operating income | 52,788 | 53,544 |
| 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 property, plant and equipment and intangible assets Impairment of trade and other receivables Other operating expenses |
1,918 (12,112) (14,247) (2,688) (2,793) (669) 66 (7,164) (2) 24 (467) |
1,449 (11,981) (10,475) (2,587) (2,523) (617) 56 (4,900) - 11 (465) |
| Income before other income (expenses) and income taxes | 14,654 | 21,512 |
| Interest on debt Interest on provisions Interest income Impairment of financial assets Other financial expenses Other financial income |
(1,905) (1,709) 1,235 (2) (482) 71 |
(2,211) (1,758) 1,241 (7) (497) 588 |
| Total other income (expenses) | (2,792) | (2,644) |
| Income before income taxes | 11,862 | 18,868 |
| Income taxes | (9,407) | (13,324) |
| Net income | 2,455 | 5,544 |
| 1-3/2025 | 1-3/2024 | |
|---|---|---|
| Net income | 2,455 | 5,544 |
| Change in fair value of cash flow hedges | 4,626 | 13,495 |
| Cash flow hedges reclassified to statement of income | (2,727) | (5,657) |
| Change in fair value of debt financial instruments | (83) | (134) |
| Deferred tax related to other comprehensive income | (216) | (4,333) |
| Net other comprehensive income that may be reclassified to | ||
| statement of income or to assets in subsequent periods | 1,600 | 3,371 |
| Total comprehensive income, net of tax | 4,055 | 8,915 |
| 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, 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 |
| Balance as at January 1, 2025 | 53,799 | (1,334) | 337 | (267) | (1,242) | 114,507 | 165,800 |
| Net income Other comprehensive income |
- - |
- - |
- 1,665 |
- (65) |
- - |
2,455 - |
2,455 1,600 |
| Total comprehensive income | - | - | 1,665 | (65) | - | 2,455 | 4,055 |
| Balance as at March 31, 2025 | 53,799 | (1,334) | 2,002 | (332) | (1,242) | 116,962 | 169,855 |
In CZK Millions
| 1-3/2025 | 1-3/2024* | |
|---|---|---|
| OPERATING ACTIVITIES: | ||
| Income before income taxes | 11,862 | 18,868 |
| Adjustments of income before income taxes to cash generated from operations: |
||
| Depreciation and amortization | 7,164 | 4,900 |
| Amortization of nuclear fuel | 1,034 | 947 |
| (Gains) and losses on non-current asset retirements | (19) | 1 |
| Foreign exchange rate loss (gain) | 438 | (502) |
| Interest expense, interest income and dividend income | 670 | 970 |
| Provisions | 9,039 | 6,775 |
| Impairment of property, plant and equipment and intangible | ||
| assets | 2 | - |
| Other non-cash expenses and income | (3,423) | (4,458) |
| Changes in assets and liabilities: | ||
| Receivables and contract assets | 10,739 | 32,552 |
| Materials, supplies and fossil fuel stocks | 2,616 | 445 |
| Receivables and payables from derivatives | (3,349) | 4,846 |
| Other assets | (957) | 3,531 |
| Trade payables | (3,387) | (19,444) |
| Other liabilities | 640 | 289 |
| Cash from operations | 33,069 | 49,720 |
| Income taxes paid | (10,269) | (16,105) |
| Interest paid, net of capitalized interest | (1,061) | (1,558) |
| Interest received | 901 | 979 |
| Net cash flow from operating activities | 22,640 | 33,036 |
| INVESTING ACTIVITIES: | ||
| Acquisition of subsidiaries, associates and joint-ventures | (1,081) | (500) |
| Proceeds from disposal of subsidiaries, associates and joint | ||
| ventures and original investments repayments | - | 31 |
| Additions to non-current assets before deducting grants, including | ||
| capitalized interest | (3,238) | (3,542) |
| Proceeds from grants to non-current assets | 122 | 400 |
| Proceeds from sale of non-current assets | 46 | 59 |
| Loans made | - | (35) |
| Repayments of loans | 322 | 305 |
| Change in restricted financial assets | (193) | (179) |
| Net cash flow from investing activities | (4,022) | (3,461) |
* The way of presentation of this statement was changed for 2024 year-end. The prior year figures were changed accordingly to provide comparative information on the same basis.
continued
| 1-3/2025 | 1-3/2024* | |
|---|---|---|
| FINANCING ACTIVITIES: | ||
| Proceeds from borrowings Payments of borrowings Payments of lease liabilities Payment of other long-term liabilities Change in payables/receivables from Group cash pooling Dividends paid |
65,345 (62,134) (84) (67) (792) (57) |
31,609 (28,478) (69) (72) (74) (135) |
| Net cash flow from financing activities | 2,211 | 2,781 |
| Net effect of currency translation and allowances in cash | (287) | (52) |
| Net increase in cash and cash equivalents | 20,542 | 32,304 |
| Cash and cash equivalents at beginning of period | 32,868 | 5,680 |
| Cash and cash equivalents at end of period | 53,410 | 37,984 |
| Supplementary cash flow information: | ||
| Total cash paid for interest | 1,141 | 1,630 |
* The way of presentation of this statement was changed for 2024 year-end. The prior year figures were changed accordingly to provide comparative information on the same basis.
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