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CLR Investment Fund Public LTD

Earnings Release Jul 20, 2016

2456_ir_2016-07-20_e931e1b6-7462-4a7f-8bb3-ad7c6e7bc4de.pdf

Earnings Release

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Condensed Interim Consolidated Statement of Total Income for the period 1 January to 30 June 2016

01/01/2016-
30/06/2016
01/01/2015-
30/06/2015
Income
Credit dividend
Credit interest
78,300
-
-
-
--------------
78,300
---------------
-
Expenses
Gain/(loss) on financial assets at fair value
through profit and loss
Impairment in the value of loans and receivables
271,914
(500,000)
(118,354)
(2)
Administrative costs (54,529)
------------
(54,543)
---------------
Loss from operating activities (204,315) (172,899)
Finance costs (21,077) (22,105)
Loss before taxation ------------
(225,392)
---------------
(195,004)
Taxation (72,392) (77,727)
Net loss for the period ------------
(297,784)
---------------
(272,731)
Other total income
Other total income for the period after taxation
- -
Total loss for the period -------------
(297,784)
---------------
(272,731)
Net loss for the period corresponding to:
Company's shareholders
Minority interest
-------------
(297,784)
-
---------------
(272,731)
-
------------
(297,784)
------------
---------------
(272,731)
---------------
Loss for the period per share attributable to the
Company's shareholders:
- basic and adjusted (€ cent) (0.10)
------------
(0.09)
---------------

Condensed Interim Consolidated Statement of Financial Position as at 30 June 2016

30 June
2016
31 December
2015
Assets
Investments in associated companies 1 1
Financial assets at fair value
through profit and loss
Other loans and receivables
Tax refundable
Cash and cash equivalents
4,349,140
2,869,395
128,109
323,596
4,077,226
3,400,358
128,109
338,960
Total assets --------------
7,670,241
-------------
---------------
7,944,654
---------------
Equity and Liabilities
Capital and reserves
Share capital
Accumulated losses
8,644,229
(8,376,166)
8,644,229
(8,078,382)
Total equity -------------
268,063
-------------
---------------
565,847
---------------
Liabilities
Borrowings
Trade and other creditors
Current tax liabilities
767,965
44,319
6,589,894
816,799
41,205
6,520,803
Total liabilities ------------
7,402,178
------------
---------------
7,378,807
---------------
Total Equity and Liabilities 7,670,241
------------
7,944,654
---------------

Condensed Interim Consolidated Statement of Changes in Equity for the period 1 January to 30 June 2016

Share
capital
Accumulated
Losses
Total
Minority
Interest
Total
Balance at
1 January 2016
8,664,229 (8,078,382) 565,847 - 565,847
Total loss:
Net loss for the
period
--------------
-
------------------
(297,784)
--------------
(297,784)
--------------
-
-------------
(297,784)
-------------- ------------------ --------------- --------------- --------------
Total loss for
the period
-
--------------
(297,784)
------------------
(297,784)
---------------
-
--------------
(297,784)
--------------
Transactions
with owners
- - - - -
--------------
-
-----------------
-
---------------
-
---------------
-
--------------
-
Balance at
30 June 2016
8,664,229
--------------
(8,376,166)
-----------------
268,063
-------------
-
---------------
268,063
--------------
Share
capital
Accumulated
Losses
Total
Minority
Interest
Total
Balance at
1 January 2015
8,664,229 (6,655,668) 1,988,561 - 1,988,561
Total loss:
Net loss for the
period
--------------
-
------------------
(272,731)
--------------
(272,731)
--------------
-
-------------
(272,731)
-------------- ------------------ --------------- --------------- --------------
Total loss for
the period
- (272,731) (272,731) - (272,731)
Transactions
with owners
-------------- ------------------ --------------- -------------- --------------
Balance at
30 June 2015
8,664,229
-------------
(6,928,399)
---------------
1,715,830
-------------
-
------------
1,715,830
------------

Condensed Interim Consolidated Statement of Cash Flows for the period 1 January to 30 June 2016

01/01/2016-
30/06/2016
01/01/2015-
30/06/2015
Cash flow from
(for)
operating activities
before changes
in working capital
Changes in working capital:
217,385 (172,899)
Financial assets at fair value through profit and loss
Other loans and receivables
Trade and other creditors
(279,914)
30,963
3,114
130,159
1
(79)
Cash used in
operating activities
Tax paid
Tax received
---------------
(20,452)
(3,301)
-
---------------
---------------
(42,818)
-
-
---------------
Net cash flow for operating activities (23,753)
---------------
(42,818)
---------------
Cash flow from investing activities
Dividends received
78,300
---------------
-
---------------
Net cash from
investing activities
78,300
---------------
-
---------------
Cash flow from financing
activities
Interest paid
(21,077) (22,105)
Net cash for financing activities ---------------
(21,077)
---------------
---------------
(22,105)
---------------
Net increase/(decrease)
in cash and cash equivalents
33,470 (64,923)
Cash and cash equivalents at beginning of period (477,839)
-------------
(336,384)
------------
Cash and cash equivalents at end of period (444,369)
---------------
(401,307)
---------------
Cash and cash equivalents comprise:
Cash in hand and at bank
Bank Overdrafts
323,596
(767,965)
393,498
(794,805)
---------------
(444,369)
---------------
---------------
(401,307)
---------------

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