Quarterly Report • Aug 8, 2017
Quarterly Report
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in CZK Millions in accordance with IFRS as of June 30, 2017
in accordance with IFRS as of June 30, 2017
in CZK Millions
| 1-6/2017 | 1-6/2016 | 4-6/2017 | 4-6/2016 | |
|---|---|---|---|---|
| Sales of electricity | 32,811 | 33,635 | 15,071 | 16,183 |
| Sales of gas, heat and other revenues | 4,739 | 4,123 | 1,786 | 1,540 |
| Other operating income | 1,726 | 451 | 1,355 | 50 |
| Total revenues and other operating income | 39,276 | 38,209 | 18,212 | 17,773 |
| Gains and losses from commodity derivative trading, net | 559 | 796 | (929) | (723) |
| Fuel | (5,515) | (5,113) | (2,448) | (2,227) |
| Purchased power and related services | (15,622) | (15,511) | (6,512) | (7,464) |
| Repairs and maintenance | (1,063) | (897) | (651) | (546) |
| Depreciation and amortization Impairment of property, plant and equipment and |
(8,178) | (7,344) | (4,093) | (3,680) |
| intangible assets | 1 | - | (1) | |
| Salaries and wages | (2,776) | (2,643) | (1,419) | (1,382) |
| Materials and supplies | (788) | (663) | (403) | (359) |
| Emission rights, net | (619) | 283 | (720) | (80) |
| Other operating expenses | (2,152) | (3,079) | (1,504) | (1,695) |
| Income before other income (expenses) and income taxes | 3,122 | 4,039 | (467) | (384) |
| Interest on debt, net of capitalized interest | (1,683) | (1,000) | (833) | (494) |
| Interest on provisions | (702) | (637) | (351) | (319) |
| Interest income | 338 | 480 | 169 | 235 |
| Foreign exchange rate gains (losses), net | 501 | (728) | 606 | (530) |
| Other financial expenses | (432) | (9,919) | (429) | (10,033) |
| Other financial income | 13,465 | 25,129 | 13,038 | 25,114 |
| Total other income (expenses) | 11,487 | 13,325 | 12,200 | 13,973 |
| Income before income taxes | 14,609 | 17,364 | 11,733 | 13,589 |
| Income taxes | (246) | (586) | 271 | 82 |
| Net income | 14,363 | 16,778 | 12,004 | 13,671 |
in accordance with IFRS as of June 30, 2017
in CZK Millions
| 1-6/2017 | 1-6/2016 | 4-6/2017 | 4-6/2016 | |
|---|---|---|---|---|
| Net income | 14,363 | 16,778 | 12,004 | 13,671 |
| 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 |
3,762 | (1,288) | 1,975 | (2,924) |
| Cash flow hedges reclassified to income statement Change in fair value of available-for-sale financial |
2,737 | (266) | 2,015 | (859) |
| assets recognized in equity | (430) | 10 | (27) | (29) |
| Deferred tax related to other comprehensive income | (1,153) | 294 | (753) | 725 |
| Other comprehensive income, net of tax | 4,916 | (1,250) | 3,210 | (3,087) |
| Total comprehensive income, net of tax | 19,279 | 15,528 | 15,214 | 10,584 |
in accordance with IFRS as of June 30, 2017
in CZK Millions
| Stated Capital |
Treasury Shares |
Cash flow hedge reserve |
Available-for sale and other reserves |
Retained Earnings |
Total Equity |
|
|---|---|---|---|---|---|---|
| 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 | 12 | 12 | ||||
| Transfer of forfeited share options within equity |
(21) | 21 | - | |||
| June 30, 2016 | 53,799 | (4,246) | (1,380) | 925 | 165,642 | 214,740 |
| December 31, 2016 | 53,799 | (4,246) | (7,536) | 926 | 157,755 | 200,698 |
| Net income | 14,363 | 14,363 | ||||
| Other comprehensive income | 5,264 | (348) | 4,916 | |||
| Total comprehensive income | - | - | 5,264 | (348) | 14,363 | 19,279 |
| Dividends | (17,630) | (17,630) | ||||
| Share options Transfer of exercised and forfeited share |
12 | 12 | ||||
| options within equity | (15) | 15 | - | |||
| June 30, 2017 | 53,799 | (4,246) | (2,272) | 575 | 154,503 | 202,359 |
in CZK Millions in accordance with IFRS as of June 30, 2017
| 1-6/2017 | 1-6/2016 | |
|---|---|---|
| Operating activities: | ||
| Income before income taxes | 14,609 | 17,364 |
| Adjustments to reconcile income before income taxes to net cash | ||
| provided by operating activities: | ||
| Depreciation and amortization | 8,178 | 7,344 |
| Amortization of nuclear fuel | 1,804 | 1,870 |
| Gain (loss) on non-current assets retirements, net | (1,158) | (18) |
| Foreign exchange rate losses (gains), net | (501) | 728 |
| Interest expense, interest income and dividends income, net | (12,078) | (14,629) |
| Provisions | (860) | (1,672) |
| Impairment of property, plant and equipment and intangible assets | (1) | |
| Other impairment and other adjustments | 225 | 740 |
| Changes in assets and liabilities: | ||
| Receivables | 12,240 | 5,036 |
| Materials, supplies and fossil fuel stocks | (106) | 48 |
| Receivables and payables from derivatives | (2,284) | 583 |
| Other current assets | 177 | 2,680 |
| Trade and other payables | (6,209) | (3,896) |
| Accrued liabilities | (2,956) | (1,563) |
| Cash generated from operations | 11,081 | 14,614 |
| Income taxes received (paid) | (330) | (761) |
| Interest paid, net of capitalized interest | (2,017) | (1,222) |
| Interest received | 371 | 520 |
| Dividends received | 2,261 | 3,652 |
| Net cash provided by operating activities | 11,366 | 16,803 |
| Investing activities: | ||
| Acquisition of subsidiaries, associates and joint-ventures and refunds | (368) | |
| Proceeds from disposal of subsidiaries, associates and joint-ventures | ||
| including liquidation distribution received | 1,418 | 9,202 |
| Additions to non-current assets, including capitalized interest | (5,788) | (12,870) |
| Proceeds from sale of non-current assets | 151 | 32 |
| Loans made | (2,416) | (8,796) |
| Repayments of loans | 1,169 | 1,068 |
| Change in restricted financial assets | (482) | (494) |
| Total cash used in investing activities | (6,316) | (11,858) |
| Financing activities: | ||
| Proceeds from borrowings | 54,276 | 23,813 |
| Payments of borrowings | (57,822) | (23,994) |
| Decreases of other long-term liabilities | (679) | |
| Change in payables/receivables from group cashpooling | 4,034 | 4,573 |
| Dividends paid | (56) | (48) |
| Net cash used in financing activities | 432 | 3,665 |
| Net effect of currency translation in cash | 38 | 50 |
| Net increase (decrease) in cash and cash equivalents | 5,520 | 8,660 |
| Cash and cash equivalents at beginning of period | 454 | 2,964 |
| Cash and cash equivalents at end of period | 5,974 | 11,624 |
| Supplementary cash flow information | ||
| Total cash paid for interest | 3,169 | 3,549 |
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