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Ch. Charilaou Group Plc

Annual / Quarterly Financial Statement Jun 16, 2021

2453_10-k_2021-06-16_2499f347-7268-4f23-923a-66158be78d64.pdf

Annual / Quarterly Financial Statement

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STATEMENT OF PROFIT AND LOSS AND OTHER COMPREHENSIVE INCOME 31 December 2020

2020
2019
Credit dividends 28.800 163.427
Administrative and other costs (28.811) (15.643)
(Loss)/profit before taxation (11) 147.784
Taxation - -
Net (loss) / profit for the year (11) 147.784
Other comprehensive income - -
Comprehensive income for the year (11) 147.784
Profit
per share attributable to the shareholders of the parent
company (cents)
- 0.07

STATEMENT OF FINANCIAL POSITION 31 December 2020

2020
2019
ASSETS
Non-current assets
Investments in subsidiaries 1.800.000 1.800.000
1.800.000 1.800.000
Current assets
Receivables 526.478 575.111
526.478 575.111
Total assets 2.326.478 2.375.111
EQUITY AND LIABILITIES
Equity
Share capital 2.158.179 2.158.179
Accumulated profits 89.762 90.668
Total equity 2.247.941 2.248.847
Current liabilities
Trade and other creditors 77.378 125.105
Current tax liabilities 1.159 1.159
Total liabilities 78.537 126.264
Total equity and liabilities 2.326.478 2.375.111

STATEMENT OF CHANGES IN NET POSITION 31 December 2020

Share
capital
Accumulated
profits
Total
Balance as at 1 January 2019 2.158.179 (44.502) 2.113.677
Total income
Net profit for the year
- 147.784 147.784
Transactions with shareholders
Contribution for defence
and GESY
in deemed dividend
distribution
- (12.614) (12.614)
Balance as at 31 December 2019
/ 1 January
2020
2.158.179 90.668 2.248.847
Total income
Net loss
for the year
- (11) (11)
Transactions with shareholders
Contribution for defence and GESY in deemed dividend
distribution
- (895) (895)
Balance as at 31 December 2020 2.158.179 89.762 2.247.941

STATEMENT OF CASH FLOWS 31 December 2020

2020
2019
CASH FLOW
FROM OPERATING ACTIVITIES
(Loss)
/ Profit
before taxation
(11) 147.784
Adjustments for:
Credit dividends (28.800) (163.427)
(28.811) (15.643)
Changes in
working capital:
Decrease/(Increase)
in receivables
48.633 (87.635)
Decrease in trade and other creditors (47.727) (47.535)
Cash for
operations
(27.905) (150.813)
Dividends received 28.800 163.427
Net cash from operations 895 12.614
CASH FLOW FROM INVESTING ACTIVITIES - -
CASH FLOW FROM FINANCING ACTIVITIES
Payment of defence contribution in deemed dividend distribution (895) (12.614)
Net cash for
financing activities
(895) (12.614)
Net increase in cash and cash equivalents - -
Cash and cash equivalents at beginning of year - -
Cash and cash equivalents at end of year - -

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