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Delfin Group Annual Report 2025

Feb 26, 2026

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Intro

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NaN NaN Consolidated audited financial data for 2025
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Table of contents

Table of contents:
Key ratios
Income statement
Assets
Liabilities & equity
Cash flow statement
Change in equity
Net sales
Cost of sales
Interest income and similar income
Interest expenses and similar expenses
Selling expenses
Administrative expenses
Corporate income tax for the reporting period
Basic earnings and Diluted earnings per share
Intangible assets
Property, plant and equipment
Right-of-use assets and lease liabilities
Other securities
Goods for sale
Loans & receivables
Cash
Retained earnings
Bonds issued
Loans from credit institutions
Other borrowings
Taxes and social insurance payments
Management remuneration
Changes in liabilities arising from financing activities
Related party transactions
Segment information
Fair value of financial assets and financial liabilities
Analysis of financial liabilities by remaining contractual maturities

Key ratios

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4
NaN NaN NaN NaN NaN
Position EUR, million Izmaiņa, % NaN NaN
Net loan portfolio 144.4 27.3 NaN NaN
Assets 162.6 28 NaN NaN
Revenue 78.2 24.2 NaN NaN
EBITDA 27.4 24.9 NaN NaN
Profit before taxes 12.4 35.2 NaN NaN
Net profit 9.6 31.9 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Position 2025 2024 2023 NaN
Revenue, EUR million 78.2 63 50.4 NaN
EBITDA, EUR million 27.4 21.9 18.2 NaN
EBITDA margin, % 0.35 0.348 0.361 NaN
EBIT, EUR million 25.2 20.1 16.9 NaN
EBIT margin, % 0.322 0.319 0.335 NaN
Profit before taxes, EUR million 12.4 9.2 8.3 NaN
Net profit, EUR million 9.6 7.3 6.6 NaN
Net profit margin, % 0.123 0.116 0.131 NaN
ROE, % 0.349 0.315 0.336 NaN
ROA, % 0.066 0.063 0.073 NaN
ROCE, % 0.247 0.242 0.235 NaN
Current ratio 0.5 0.9 1 NaN
NaN NaN NaN NaN NaN
In some cases, quantitative values have been rounded up to the nearest decimal place or whole number to avoid an excessive level of detail. As a result, certain values may not necessarily add up to the respective totals due to the effects of the approximation. NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
EBITDA calculation, EUR million: 2025 2024 NaN NaN
Item NaN NaN NaN NaN
Profit before tax 12.4 9.2 NaN NaN
Interest expenses and similar expenses 12.8 10.9 NaN NaN
Depreciation and amortisation 2.2 1.8 NaN NaN
EBITDA, EUR million 27.4 21.9 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Covenant Value as of 31.12.2025 Compliance NaN NaN
to maintain a Capitalization Ratio at least 20% 0.27 yes NaN NaN
to maintain consolidated Interest Coverage Ratio of at least 1.5 times, calculated on the trailing 12-month basis 2.1 yes NaN NaN
(Net loan portfolio + inventories + other receivables + cash and cash equivalents – (liabilities to Mintos × 1.2) – (liabilities to banks × 1.4)) / unsecured liabilities, excluding subordinated liabilities ≥ 1.2 1.4 yes NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Position Result 2025 Target 2025 NaN NaN
Net loan portfolio, million EUR 144.4 138 NaN NaN
Profit before tax, million EUR 12.4 11.4 NaN NaN
ROE 0.349 >30% NaN NaN
Cost to income ratio 0.402 <45% NaN NaN
Adjusted equity ratio 0.247 >20% NaN NaN
Dividend payout ratio 46.3%* >50% NaN NaN
*Given that profit for the fourth quarter of 2025 was significantly higher than the total profit of the preceding four quarters, while dividends related to this period will be distributed only in 2026, the ratio remains below 50%. NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Share trading information 2025 2024 NaN NaN
Open price, EUR 1.076 1.305 NaN NaN
Highest price, EUR 1.312 1.32 NaN NaN
Lowest price, EUR 1.076 1 NaN NaN
Last price, EUR 1.288 1.076 NaN NaN
Turnover, mEUR 7.27 5.5 NaN NaN
Capitalization mEUR 58.54 48.86 NaN NaN
P/E ratio 6.1 6.55 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Dividend data 2025 2024 NaN NaN
Dividends paid to shareholders, mEUR 4.5 3.7 NaN NaN
Dividends per share paid to shareholders, EUR 0.0982 0.0821 NaN NaN
Earnings per share, EUR 0.211 0.16 NaN NaN
Dividend yield 0.076 0.076 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
ISIN Nominal value of bond issued, EUR Maturity Coupon List
LV0000802718 10 995 000* 2026-02-25 00:00:00 9.0% + 3M EURIBOR Nasdaq Riga First North
LV0000860146 15 000 000 2026-11-25 00:00:00 9.0% + 3M EURIBOR Nasdaq Riga First North
LV0000106649 22 085 000 2027-09-25 00:00:00 0.095 Private placement
LV0000802700 5 000 000 2028-07-25 00:00:00 11.5% + 3M EURIBOR Nasdaq Riga First North
LV0000803914 15000000 2028-09-25 00:00:00 0.1 Nasdaq Baltic Regulated market
LV0000870145 5 000 000 2029-05-25 00:00:00 11.0% + 3M EURIBOR Nasdaq Riga First North
LV0000106631 0 2030-09-25 00:00:00 0.115 Private placement
NaN NaN NaN NaN NaN
*EUR 1,342,000 is owned by DelfinGroup. NaN NaN NaN NaN

Income statement

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3
NaN NaN NaN NaN
NaN NaN Group NaN
NaN NaN 2025 2024
NaN Notes EUR EUR
NaN NaN NaN NaN
Net sales 3 14110454 10628152
Cost of sales 4 -9700621 -7027633
Interest income and similar income 5 64129831 52325856
Interest expenses and similar expenses 6 -12763266 -10910717
Credit loss expenses 17 -21206228 -15103709
Gross profit NaN 34570170 29911949
Selling expenses 7 -14407639 -13214500
Administrative expenses 8 -7408635 -7127233
Other operating income NaN 405547 181332
Other operating expenses NaN -746867 -577378
Profit before corporate income tax NaN 12412576 9174170
Income Tax 9 -2797752 -1897964
Net profit NaN 9614824 7276206
Basic earnings per share 10 0.212 0.16
Diluted earnings per share 10 0.211 0.16

Assets

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3
NaN NaN NaN NaN
NaN NaN Group Group
Assets NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN NaN NaN NaN
Non-current assets: Notes EUR EUR
Intangible assets: NaN NaN NaN
Patents, licences, trademarks and similar rights NaN 5045 9302
Internally developed software NaN 1961466 2041891
Work in progress internally developed software NaN 41978 119458
Goodwill NaN 127616 127616
Total intangible assets 11 2 136 105 2298267
Property, plant and equipment: NaN NaN NaN
Land, buildings and structures NaN 166138 173540
Leasehold improvements NaN 270581 314740
Right-of-use assets NaN 2938331 2652848
Other fixtures and fittings, tools and equipment NaN 315079 441803
Advances for property, plant and equipment NaN 54882 -
Total property, plant and equipment 12; 13 3 745 011 3582931
Non-current financial assets: NaN NaN NaN
Loans and receivables 17 125568196 91455715
Other securities 15 2501201 -
Deferred income tax assets 9 345854 154640
Total non-current financial assets NaN 128 415 251 91 610 355
Total non-current assets NaN 134 296 367 97 491 553
Current assets: NaN NaN NaN
Inventories: NaN NaN NaN
Finished goods and goods for sale NaN 2 947 217 3 989 843
Total inventories 16 2 947 217 3989843
Receivables: NaN NaN NaN
Loans and receivables 17 18825346 22 018 048
Term deposits with banks NaN 999900 999900
Other receivables NaN 1586801 615737
Total receivables NaN 21 412 047 23633685
Prepaid expenses NaN 386529 243398
Cash and cash equivalents 18 3539478 1644490
Total current assets NaN 28 285 271 29 511 416
Total assets NaN 162 581 638 127002969

Liabilities & equity

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3
NaN NaN NaN NaN
NaN NaN Group Group
Liabilities and equity NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN NaN NaN NaN
Equity: Notes EUR EUR
Share capital 19 4 544 892 4540644
Share premium 19 6890958 6890958
Other capital reserves 21 275193 223404
Foreign exchange translation reserve NaN 315 -
Retained earnings: 20 18432586 13273699
Total equity NaN 30 143 944 24928705
Liabilities: NaN NaN NaN
Non-current liabilities: NaN NaN NaN
Bonds issued 22 46673606 47513867
Loans from credit institutions 23 12500000 5673103
Other borrowings 24 17489831 13901453
Lease liabilities for right-of-use assets 13 2 519 494 2219336
Total non-current liabilities NaN 79182931 69307759
Current liabilities: NaN NaN NaN
Bonds issued 22 24191310 5459248
Loans from credit institutions 23 11 000 000 11715582
Other borrowings 24 11278931 10399105
Lease liabilities for right-of-use assets 13 741822 734251
Trade payables NaN 1125042 934352
Taxes and social insurance 25 224701 505972
Income tax liabilities 25 2489766 1 418 070
Accrued liabilities NaN 2203191 1599925
Total current liabilities NaN 53254763 32766505
Total liabilities NaN 132 437 694 102074264
Total liabilities and equity NaN 162581638 127002969

Cash flow

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3
NaN NaN NaN NaN
NaN NaN Group NaN
NaN NaN 2025 2024
NaN NaN NaN NaN
NaN NaN NaN NaN
NaN Notes EUR EUR
Cash flow from operating activities NaN NaN NaN
Profit before corporate income tax NaN 12412576 9174170
Adjustments for non-cash items: NaN NaN NaN
a) depreciation and amortisation 11; 12 1329084 961530
b) depreciation of right-of-use assets 12 903409 884689
c) credit loss expenses 17 21206228 15103709
d) share-based payment expense NaN 52104 53592
e) interest income and similar income 5 -64129831 -52325856
f) interest expenses and similar expenses 6 12763266 10910717
g) Income from securities and loans classified as non-current investments 15 -1201 -
Loss before adjustments for the effect of changes in working capital NaN -15464365 -15237449
Change in operating assets/liabilities: NaN NaN NaN
a) (Increase) in receivables from issued loans and other receivables NaN -51996028 -38597198
b) (Increase)/ decrease on inventories NaN 1042627 -598961
c) (Decrease)/increase in trade and other payables NaN 712405 1510779
Gross cash flow from operating activities NaN -65705361 -52922829
Interest received NaN 62885657 50966715
Interest paid NaN -13725912 -11499348
Corporate income tax payments NaN -1916658 -1797140
Net cash flow from operating activities NaN -18462274 -15252602
Cash flow from investing activities NaN NaN NaN
Acquisition of property, plant and equipment 12 -324763 -416284
Acquisition of intangible assets 11 -718756 -1099552
Term deposits placed NaN - -545400
Purchase of other securities 15 -2500000 -
Net cash flow from investing activities NaN -3543519 -2061236
Cash flow from financing activities NaN NaN NaN
Proceeds from exercise of share options NaN 4248 2893
Loans received 28 31680013 22874316
Loans repaid 28 -19928996 -17106197
Bonds issued 28 20200000 23512000
Redemption of bonds 28 -2462000 -11000000
Repayment of lease liabilities NaN -1136546 -1072654
Dividends paid NaN -4455938 -3726100
Net cash flow from financing activities NaN 23900781 13484258
Net cash flow of the reporting period NaN 1894988 -3829580
Cash and cash equivalents at the beginning of \nthe reporting period NaN 1644490 5474070
Cash and cash equivalents at the end of the \nreporting period 18 3539478 1644490

Changes in equity

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7
NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN Share capital Share premium Other capital reserves Foreign exchange translation reserve Retained earnings Total
NaN Notes EUR EUR EUR EUR EUR EUR
NaN NaN NaN NaN NaN NaN NaN NaN
As at 31 December 2023 NaN 4537751 6 890 958 169812 - 9723592 21322113
Profit for the reporting period NaN - - - - 7276206 7276206
Dividends paid 20 - - - - -3726099 -3726099
Share-based payments NaN - - 53592 - - 53592
Exercise of share options 19 2893 - - - - 2893
As at 31 December 2024 NaN 4540644 6890958 223404 - 13273699 24928705
Profit for the reporting period NaN - - - - 9614824 9614824
Dividends paid 20 - - - - -4455937 -4455937
Share-based payments NaN - - 51789 - - 51789
Exercise of share options 19 4 248 - - - - 4248
Foreign exchange differences arising from the consolidation of foreign subsidiaries NaN - - - 315 - 315
As at 31 December 2025 NaN 4544892 6890958 275193 315 18432586 30143944

Net sales

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Net revenue by type of revenue NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Income from sales of goods 8682511 7382169
Income from sales of precious metals 4492773 2197186
Other income (loan and storage commission) for financial instruments measured as FVTPL 935170 1 048 797
NaN 14 110 454 10628152
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
Net revenue by geographical segments NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Latvia 12 735 922 10 301 672
Lithuania 1 374 532 326480
NaN 14 110 454 10628152

Cost of sales

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Cost of sales NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Cost of sales of goods 6324565 5 148 978
Cost of sales of precious metals 3376056 1 878 655
NaN 9700621 7 027 633

Interest income

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Interest income by type of revenue NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Interest income on unsecured loans according to effective interest rate method 55572225 44 294 610
Interest income on pawn loans 8557606 8031246
NaN 64 129 831 52325856
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
Interest income by geographical segments NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Latvia 62 655 983 52 248 471
Lithuania 1 473 848 77385
NaN 64 129 831 52 325 856

Interest expenses

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Interest expenses and similar expenses NaN NaN
NaN 2024 2023
NaN EUR EUR
NaN NaN NaN
Bonds’ interest expense 7165799 6706879
Interest expense on loans via Mintos platform 2852842 2360639
Interest expense on loans from credit institutions 2477948 1608111
Interest expense on lease liabilities 266677 234236
Net foreign exchange losses - 852
NaN 12763266 10910717

Selling expenses

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Selling expenses NaN NaN
NaN 2024 2023
NaN EUR EUR
NaN NaN NaN
Salary expenses 6212107 5724939
Customer attraction expenses 2556428 1990489
State compulsory social security contributions 1369552 1268444
Amortisation and write-down of intangible assets 892378 668641
Depreciation of right-of-use assets 768071 784040
Maintenance expenses 644557 611253
Depreciation of property, plant and equipment 389904 292889
Utilities expenses 317635 320227
Non-deductible VAT 268197 691001
Transportation expenses 99484 87241
Provisions for unused annual leave -32269 49772
Other expenses 921595 725564
NaN 14407639 13214500

Administrative expenses

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Administrative expenses NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Salary expenses 3556275 3594612
Bank commissions 1061911 1084051
State compulsory social security contributions 865229 756977
Communication expenses 797725 614202
Legal and professional services 250621 175137
State fees and duties, licence expenses 150101 136853
Depreciation of right-of-use assets 134810 100648
Public relations expenses 27678 80063
Audit expenses* 60333 79703
Provisions for unused annual leave (59 183) 4143
Other administrative expenses 563135 500844
NaN 7408635 7127233

Corporate tax

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
a)\t Corporate income tax for the reporting period NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Corporate income tax charge for the reporting period -2988965 -2040690
Deferred corporate income tax 191213 142726
NaN -2797752 -1897964
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
b) \tDeferred tax assets NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Deferred tax 345854 154640
NaN 345854 154640
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
Corporate income tax NaN NaN
NaN 2025 2024
NaN EUR EUR
Profit before corporate income tax 9174170 8289635
Theoretical tax at 20% 2482515 1834834
Distribution of profits of previous periods 91685 87081
Tax effect of permanent differences related to non-deductible 187743 10573
expenses/non-taxable income 77852 35472
Impact of tax rates in other jurisdictions -42043 -69996
Corporate income tax 2797752 1897964

EPS

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Basic earnings and Diluted earnings per share NaN NaN
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Net profit attributable to shareholders 9614824 7 276 206
Weighted average number of shares 45416485 45383117
Earnings per share 0.212 0.16
Weighted average number of shares used for calculating the diluted earnings per shares 45469751 45405487
Diluted earnings per share 0.211 0.16
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
NaN Change Actual number of shares after transaction
NaN EUR EUR
2024 NaN NaN
Number of shares at the beginning of the year NaN 45377505
Number of shares exercised at 21 October 2024 28930 45406435
Number of shares at the end of the year NaN 45406435
Weighted average number of shares: NaN 45 383 117
Weighted average number of share options for DelfinGroup AS employees granted in 2024* NaN 22370
Weighted average potential number of shares NaN 45405487
2025 NaN NaN
Number of shares at the beginning of the year NaN 45406435
Number of shares exercised at 25 July 2025 22176 45428611
Number of shares exercised at 24 December 2025 20304 45448915
Number of shares at the end of the year NaN 45448915
Weighted average number of shares: NaN 45416485
Weighted average number of share options for DelfinGroup AS employees granted in 2025** NaN 53266
Weighted average potential number of shares NaN 45469751

Intangible assets

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5
NaN NaN NaN NaN NaN NaN
Intangible assets NaN NaN NaN NaN NaN
Group Patents, trademarks and similar rights Internally developed software* Work in progress internally developed software* Goodwill** Total
NaN NaN NaN NaN NaN NaN
NaN EUR EUR EUR EUR EUR
Acquisition value NaN
2023-12-31 00:00:00 349125 2199647 156722 127616 2833110
Additions - 456708 642844 - 1099552
Transfers - 680108 -680108 - -
Disposals - - - - -
2024-12-31 00:00:00 349125 3336463 119458 127616 3932662
Additions - 205773 512983 - 718756
Transfers - 590463 -590463 - -
Disposals -810 -172954 - - -173764
2025-12-31 00:00:00 348315 3959745 41978 127616 4477654
NaN NaN NaN NaN NaN NaN
Amortization NaN
2023-12-31 00:00:00 335179 630574 - - 965753
Amortization for the reporting year 4644 663998 - - 668642
Amortization of excluded intangible assets - - - - -
2024-12-31 00:00:00 339823 1294572 - - 1634395
Amortization for the reporting year 4257 872960 - NaN 877217
Amortization of excluded intangible assets -810 -169253 - - -170063
2025-12-31 00:00:00 343270 1998279 - - 2341549
Carrying amount, net 31.12.2025. 5045 1961466 41978 127616 2136105
Carrying amount, net 31.12.2024. 9302 2041891 119458 127616 2298267

Fixed assets

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8 Unnamed: 9
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Property, plant and equipment NaN NaN NaN NaN NaN NaN NaN NaN NaN
Group Land Buildings and structures Other assets Leasehold improvements Advances for PPE Right-of-use premises Right-of-use vehicles Right-of-use assets, total Total
EUR EUR EUR EUR EUR EUR NaN EUR EUR
Acquisition value NaN
2023-12-31 00:00:00 99000 93989 1374768 855724 - 6031397 306877 6338274 8761755
Additions - 6439 306610 103235 - 364646 - 364646 780930
Remeasurements - - - - - 339685 - 339685 339685
Disposals - - -45148 - - -255516 - -255516 -300664
2024-12-31 00:00:00 99000 100428 1636230 958959 - 6480212 306877 6787089 9581706
Additions - - 164106 105775 54882 148800 314800 463600 788363
Remeasurements - - - NaN - 1063789 -77 1063712 1063712
Disposals - - -186023 -48744 - -748977 -333133 -1082110 -1316877
2025-12-31 00:00:00 99000 100428 1614313 1015990 54882 6943824 288467 7232291 10116904
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Depreciation NaN
2023-12-31 00:00:00 - 18392 1052664 540282 - 3187511 263493 3451004 5062342
Depreciation - 7496 181456 103937 - 868866 15823 884689 1177578
Disposals - - -39693 - - -201452 - -201452 -241145
2024-12-31 00:00:00 - 25888 1194427 644219 - 3854925 279316 4134241 5998775
Depreciation - 7402 209596 117170 - 857730 45679 903409 1237577
Disposals - - -104789 -15980 - -454683 -289007 -743690 -864459
2025-12-31 00:00:00 - 33290 1299234 745409 - 4257972 35988 4293960 6371893
NaN
Carrying amount, net 31.12.2025. 99000 67138 315079 270581 54882 2685852 252479 2938331 3745011
Carrying amount, net 31.12.2024. 99000 74540 441803 314740 - 2625287 27561 2652848 3582931

Right-of-use assets

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Right-of-use assets and lease liabilities NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
Non-current assets NaN NaN
Right-of-use assets - premises 2685852 2 625 288
Right-of-use assets - motor vehicles 252479 27560
Assets, total 2938331 2652848
Non-current liabilities NaN NaN
Lease liabilities 2519494 2219336
Current liabilities NaN NaN
Lease liabilities 741822 734251
Lease liabilities, total 3261316 2953587
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Less than one year 992357 965563
One to two years 842692 673915
Two to three years 700050 564002
Three to four years 550085 442673
Four to five years 390076 301054
More than five years 564441 737897
Total undiscounted lease payable 4039701 3 685 104

Other securities

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Other securities NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Non-current securities 2 500 000 -
Accrued interest 1201 -
NaN 2 501 201 -

Inventories

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Inventories NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Goods for sale 1 364 647 1 792 235
Inventory made of precious metals 1 582 570 2 197 608
NaN 2 947 217 3 989 843

Loans & receivables

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4
NaN NaN NaN NaN NaN
Loans and receivables NaN NaN NaN NaN
NaN NaN NaN NaN NaN
a) \tLoans and receivables by loan type NaN NaN NaN NaN
NaN Group Group NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00 NaN NaN
NaN EUR EUR NaN NaN
Pawn loans measured at fair value NaN NaN NaN NaN
Non-current pawn loans 189927 176753 NaN NaN
Current pawn loans 7398932 8 824 726 NaN NaN
Interest accrued for pawn loans 436647 431728 NaN NaN
Pawn loans measured at fair value, total 8025506 9 433 207 NaN NaN
Debtors for loans issued without pledge NaN NaN NaN NaN
Non-current debtors for loans issued without pledge 125 378 270 91278962 NaN NaN
Current debtors for loans issued without pledge 24 280 378 20710566 NaN NaN
Interest accrued for loans issued without pledge 5356318 4117065 NaN NaN
Debtors for loans issued without pledge, total 155 014 966 116106593 NaN NaN
Loans and receivables before allowance, total 163 040 472 125539800 NaN NaN
ECL allowance on loans issued without pledge -18646929 -12066037 NaN NaN
NaN NaN NaN NaN NaN
Loans and receivables 144393543 113 473 763 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
b) \tAllowance for impairment of loans issued without pledge at amortised cost NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Group Stage 1 Stage 2 Stage 3 Total
Gross carrying value as at 1 January 2024 84286323 2199712 1901606 88387641
New assets originated or purchased 79525039 - - 79525039
Assets settled or partly settled -39092604 -4267981 -1247813 -44608398
Assets derecognised due to cession of receivables - -5551172 -2085268 -7636440
Assets written off - - -503749 -503749
Effect of interest accruals 473188 121371 347941 942500
Transfers to Stage 1 717712 -574537 -143175 -
Transfers to Stage 2 -13339439 13348514 -9075 -
Transfers to Stage 3 -3729748 -1601978 5331726 -
As at 31 December 2024 108840471 3673929 3592193 116106593
New assets originated or purchased 110074924 - - 110074924
Assets settled or partly settled -52466793 -5583337 -2190791 -60240921
Assets derecognised due to cession of receivables - -8229355 -3048708 -11278063
Assets written off - - -820494 -820494
Effect of interest accruals 638016 137389 397522 1172927
Transfers to Stage 1 1219378 -940578 -278800 -
Transfers to Stage 2 -19679265 19710540 -31275 -
Transfers to Stage 3 -6192138 -2928654 9120792 -
As at 31 December 2025 142434593 5839934 6740439 155014966
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Group Stage 1 Stage 2 Stage 3 Total
ECL as at 1 January 2024 2794161 834239 783043 4411443
New assets originated or purchased 7649095 - - 7649095
Assets settled or partly settled -3645389 -2100748 -753957 -6500094
Assets derecognised due to cession of receivables - -5154105 -1928717 -7082822
Assets written off - - -501763 -501763
Effect of interest accruals 100035 79826 296002 475863
Transfers to Stage 1 72100 -283189 -86668 -297757
Transfers to Stage 2 -1346924 6571673 -5515 5219234
Transfers to Stage 3 -336067 -792454 3222790 2094269
Impact on period end ECL due to changes in credit risk and inputs used for ECL calculations 452398 2596841 1157016 4206255
As at 31 December 2024 7106311 1772970 3186756 12066037
New assets originated or purchased 12564379 - - 12564379
Assets settled or partly settled -5890279 -2898311 -1439579 -10228169
Assets derecognised due to cession of receivables - -7199361 -3536984 -10736345
Assets written off - - -781062 -781062
Effect of interest accruals 84006 87989 449342 621337
Transfers to Stage 1 138608 -487946 -182571 -531909
Transfers to Stage 2 -2237724 10222744 -20543 7964477
Transfers to Stage 3 -708232 -1519693 5953651 3725726
Impact on period end ECL due to changes in credit risk and inputs used for ECL calculations -872591 2969332 1885717 3982458
As at 31 December 2025 10184478 2947724 5514727 18646929
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
c) \tAge analysis of loans issued without pledge at amortised cost: NaN NaN NaN NaN
NaN Group Group NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00 NaN NaN
NaN EUR EUR NaN NaN
NaN NaN NaN NaN NaN
For trade debtors not yet due 129591800 100545395 NaN NaN
Outstanding 1-30 days 12842792 8293453 NaN NaN
Outstanding 31-90 days 5839934 3675551 NaN NaN
Outstanding 91-180 days 2234860 721639 NaN NaN
Outstanding for 181-360 days 2455930 1335113 NaN NaN
Outstanding for more than 360 days 2049650 1535442 NaN NaN
Total loans receivable 155014966 116106593 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
d)\t Age analysis of allowance for impairment: NaN NaN NaN NaN
NaN Group Group NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00 NaN NaN
NaN EUR EUR NaN NaN
NaN NaN NaN NaN NaN
For trade debtors not yet due 7109110 5338747 NaN NaN
Outstanding 1-30 days 3143936 1908613 NaN NaN
Outstanding 31-90 days 3025606 1856268 NaN NaN
Outstanding 91-180 days 1609876 537472 NaN NaN
Outstanding for 181-360 days 1887928 1094088 NaN NaN
Outstanding for more than 360 days 1870473 1330849 NaN NaN
ECL allowance on loans issued without pledge 18646929 12066037 NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
e) \tCredit loss expenses NaN NaN NaN NaN
NaN Group Group NaN NaN
NaN 2024-12-31 00:00:00 2023-12-31 00:00:00 NaN NaN
NaN EUR EUR NaN NaN
NaN NaN NaN NaN NaN
Credit losses on loans issued without pledge 19 810 361 13643401 NaN NaN
Net result from debt sales 1 356 435 1 458 322 NaN NaN
Net result from loans written off 39432 1986 NaN NaN
Credit loss expenses 21206228 15 103 709 NaN NaN

Cash

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Cash and cash equivalents NaN NaN
NaN Group Group
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Cash at banks 2 982 818 1 100 956
Cash on hand 556 660 543 534
NaN 3 539 478 1 644 490

Retained earnings

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Retained earnings NaN NaN
NaN Group Group
NaN 2025 2024
NaN EUR EUR
NaN NaN NaN
Balance as at 1 January 13 273 699 9723592
Net profit for the period 9614824 7276206
Dividends declared and paid: NaN NaN
Interim dividends of 0.0889 EUR (2024: 0.0731 EUR) per share -4038198 -3326777
Annual dividends of 0.0092 EUR per share in 2024 -417739 -399322
Balance as at 31 December 18432586 13273699

Bonds

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Bonds issued NaN NaN
NaN Group Group
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
Total non-current part of bonds issued 46673606 47 513 867
NaN NaN NaN
Bonds issued 24070849 5368103
Interest accrued 120461 91145
Total current part of bonds issued 24191310 5459248
NaN NaN NaN
Bonds issued, total 70744455 52881970
Interest accrued, total 120461 91145
Bonds issued, net 70864916 52973115

Loans from credit institutions

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Loans from credit institutions NaN NaN
NaN Group Group
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Non-current loans from credit institutions 12500000 5673103
Total non-current loans from credit institutions 12 500 000 5673103
NaN NaN NaN
Current loans from credit institutions 11 000 000 11715582
Total current loans from credit institutions 11 000 000 11715582
NaN NaN NaN
Loans from credit institutions, total 23500000 17388685

Other borrowings

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Other borrowings NaN NaN
NaN Group Group
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Other non-current loans 17489831 13 901 453
Total other non-current loans 17489831 13901453
NaN NaN NaN
Other current loans 11278931 10399105
Total other current loans 11278931 10399105
NaN NaN NaN
Other loans, total 28768762 24300558

Taxes & social insurance

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Taxes and social insurance NaN NaN
NaN Group Group
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Value Added Tax 76922 72354
Corporate Income tax 2489766 1418070
Business risk charge 297 136
State compulsory social security contributions 247711 281424
Personal income tax 146214 175092
Vehicles tax 11286 2897
Natural resource tax - 3
Property tax 2112 -
Prepayment -259841 -25934
Total taxes and social insurance payments 2714467 1924042

Management remuneration

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Management remuneration NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Supervisory Board members' remuneration: NaN NaN
-         salary expenses 208853 201845
-         state compulsory social security contributions 48358 47615
NaN 257211 249460
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Board members' remuneration: NaN NaN
-         salary expenses 496920 608646
-         state compulsory social security contributions 116617 143580
NaN 613537 752226

Changes in liabilities

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6
NaN NaN NaN NaN NaN NaN NaN
Changes in liabilities arising from financing activities NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN
Group Bonds \nissued Other \nborrowings Loans from credit institutions Lease liabilities Share capital and Share premium Total liabilities from financing activities
NaN NaN NaN NaN NaN NaN NaN
NaN EUR EUR EUR EUR EUR EUR
NaN NaN NaN NaN NaN NaN NaN
Carrying amount at NaN NaN NaN NaN NaN NaN
31 December 2023 40266544 29410334 7293992 3168456 11428709 91568035
Cash flow 12512000 -5131881 10900000 -1072654 2893 17210358
Proceeds 23512000 11974316 10900000 - 2893 46389209
Settlements: NaN NaN NaN NaN NaN NaN
Principal -11000000 -17106197 - -1072654 - -29178851
Interest -5485423 -2237493 -2380923 - - -10103839
Non-cash changes 5679994 2259598 1575616 857785 - 10372993
Interest expenses 6706879 2360638 1608111 232277 - 10907905
Commission fees -1118030 -203951 -32495 - - -1354476
New lease contracts - - - 364646 - 364646
Modification of lease contracts - - - 339685 - 339685
Lease disposal - - - -78823 - -78823
Other changes 91145 102911 - - - 194056
NaN NaN NaN NaN NaN NaN NaN
Carrying amount at NaN NaN NaN NaN NaN NaN
31 December 2024 52973115 24 300 558 17388685 2953587 11431602 109 047 547
Cash flow 11152285 1295853 3587746 (1 136 546) 4248 14903586
Proceeds 20200000 19180013 12500000 - 4248 51884261
Settlements: NaN NaN NaN NaN NaN NaN
Principal -2462000 -15031318 -6434306 -869870 - -24797494
Interest -6585715 -2852842 -2477948 -266676 - -12183181
Non-cash changes 6739516 3172351 2523569 1444275 - 13 879 711
Interest expenses 7165799 2852842 2477948 266676 - 12763265
Commission fees -426283 347259 32495 - - -46529
New lease contracts - - - 463600 - 463600
Modification of lease contracts - - - 1058757 - 1058757
Lease disposal - - - -344758 - -344758
Other changes - -27750 13126 - - -14624
Carrying amount at NaN NaN NaN NaN NaN NaN
31 December 2025 70 864 916 28 768 762 23 500 000 3 261 316 11 435 850 137 830 844

Related parties

Table of contents Unnamed: 1 Unnamed: 2
NaN NaN NaN
Related party transactions NaN NaN
NaN Transactions in 2025 Transactions in 2024
NaN NaN NaN
EUR EUR
Group’s transactions
Shareholders
Interest paid 94123 128137
NaN NaN NaN
Key management personnel NaN NaN
Interest paid 11128 4310
NaN NaN NaN
Other related companies NaN NaN
Services received 3000 2000
NaN NaN NaN
NaN NaN NaN
NaN NaN NaN
Bonds issued to shareholders of the related companies Koncerns Koncerns
NaN 2025-12-31 00:00:00 2024-12-31 00:00:00
NaN EUR EUR
NaN NaN NaN
Key management personnel 400000 -
Shareholders 2 183 000 3163600
Non-current part of bonds issued to shareholders of the related companies, total 2 583 000 3 163 600
NaN NaN NaN
Shareholders - -
Current part of bonds issued to shareholders of the related companies, total - -
Bonds issued to related companies, total 2 583 000 3 163 600

Segment information

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8
NaN NaN NaN NaN NaN NaN NaN NaN NaN
Segment information NaN NaN NaN NaN NaN NaN NaN NaN
EUR Consumer loans NaN Pawn loans NaN Retail of pre-owned goods NaN Total NaN
NaN 2025 2024 2025 2024 2025 2024 2025 2024
NaN NaN NaN NaN NaN NaN NaN NaN NaN
Assets 150835296 110968050 7526190 10965353 4220153 5069566 162581639 127 002 969
Liabilities of the segment 120818737 88792414 8162039 9485373 3456918 3796477 132437694 102 074 264
Net sales - - - - 14110454 10 628 152 14110454 10 628 152
Interest income and similar income 55572225 44 294 711 8557606 8 031 145 - - 64129831 52 325 856
Net performance of the segment 21973520 16510464 2631852 2775479 570470 798944 25175842 20 084 887
Financial (expenses) -11803538 -9650036 -661697 -883840 -298031 -376841 -12763266 -10910717
Profit/(loss) before taxes 10169982 6860428 1970155 1891639 272439 422103 12412576 9 174 170
Corporate income tax -2507591 -1419294 -254911 -391345 -35250 -87325 -2797752 -1897964

Fair value

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5
NaN NaN NaN NaN NaN NaN
Fair value of financial assets and financial liabilities NaN NaN NaN NaN NaN
Group NaN NaN NaN NaN NaN
As at 31 December 2025 Fair value hierarchy NaN NaN NaN NaN
NaN Level 1 Level 2 Level 3 Total fair value Carrying value
NaN
Assets for which fair values are disclosed NaN NaN NaN NaN NaN
Cash and cash equivalents 3 539 478 - - 3 539 478 3 539 478
Loans and receivables NaN NaN NaN NaN NaN
Unsecured loans - - 150 988 289 150 988 289 155 014 966
Other financial assets - - 1 972 045 1 972 045 1 972 045
Assets which are accounted at fair value NaN NaN NaN NaN NaN
Loans and receivables NaN NaN NaN NaN NaN
Pawn loans - - 8 025 506 8 025 506 8 025 506
NaN NaN NaN NaN NaN NaN
Liabilities for which fair values are disclosed NaN NaN NaN NaN NaN
Bonds issued - - 73 015 593 73 015 593 70 864 916
Loans from credit institutions - - 23 418 243 23 418 243 23 500 000
Other borrowings - - 30 790 688 30 790 688 28 768 762
Trade payables - - 1 125 042 1 125 042 1 125 042
NaN NaN NaN NaN NaN NaN
As at 31 December 2024 Fair value hierarchy NaN NaN NaN NaN
NaN Level 1 Level 2 Level 3 Total fair value Carrying value
NaN
Assets for which fair values are disclosed NaN NaN NaN NaN NaN
Cash and cash equivalents 1 644 490 - - 1 644 490 1 644 490
Loans and receivables NaN NaN NaN NaN NaN
Unsecured loans - - 118 354 260 118 354 260 116106593
Other financial assets - - 859135 859135 859135
Assets which are accounted at fair value NaN NaN NaN NaN NaN
Loans and receivables NaN NaN NaN NaN NaN
Pawn loans - - 9 433 207 9 433 207 9 433 207
NaN NaN NaN NaN NaN NaN
Liabilities for which fair values are disclosed NaN NaN NaN NaN NaN
Bonds issued - - 55 910 866 55 910 866 52 973 115
Loans from credit institutions - - 17 514 229 17 514 229 17 388 685
Other borrowings - - 24 050 354 24 050 354 24 300 558
Trade payables - - 934352 934352 934352
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
Reconciliation NaN NaN NaN NaN NaN
The following table shows a reconciliation from the opening balances to the closing balances for assets measured at fair value in Level 3 of the fair value hierarchy. NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
2025 NaN NaN NaN NaN NaN
NaN Group NaN NaN NaN NaN
Balance at 1 January 9,433,207 NaN NaN NaN NaN
Total gains or losses: NaN NaN NaN NaN NaN
Interest income 8,557,606 NaN NaN NaN NaN
Other income 935,170 NaN NaN NaN NaN
Issues 33,572,450 NaN NaN NaN NaN
Settlements -44472927 NaN NaN NaN NaN
Balance at 31 December 8,025,506 NaN NaN NaN NaN
2024 NaN NaN NaN NaN NaN
NaN Group NaN NaN NaN NaN
Balance at 1 January 7 442 081 NaN NaN NaN NaN
Total gains or losses: NaN NaN NaN NaN NaN
Interest income 8 031 187 NaN NaN NaN NaN
Other income 1 048 595 NaN NaN NaN NaN
Issues 26 302 920 NaN NaN NaN NaN
Settlements -33391576 NaN NaN NaN NaN
Balance at 31 December 9 433 207 NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
Collateral for pawn loans NaN NaN NaN NaN NaN
NaN 2025 2024 NaN NaN NaN
Goods 3736679 4 076 479 NaN NaN NaN
Gold 4288516 5 356 728 NaN NaN NaN
TOTAL 8025195 9 433 207 NaN NaN NaN
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN
LTV ratio 2025 2024 NaN NaN NaN
Goods NaN NaN NaN NaN NaN
Less than 50% 127889 197 357 NaN NaN NaN
51–70% 1469821 1 796 688 NaN NaN NaN
71–90% 1608135 1 603 667 NaN NaN NaN
91–100% 360179 372 698 NaN NaN NaN
More than 100% 170655 106 069 NaN NaN NaN
Total 3736679 4 076 479 NaN NaN NaN

Financial liabilities analysis

Table of contents Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6
NaN NaN NaN NaN NaN NaN NaN
Analysis of financial liabilities by remaining contractual maturities NaN NaN NaN NaN NaN NaN
As at 31 December 2025 Less than \n3 months 3 to \n12 months 1 to \n5 years Over\n5 years Total Carrying value
NaN NaN NaN NaN NaN NaN NaN
Financial liabilities NaN NaN NaN NaN NaN NaN
Bonds issued 10910849 20317533 53855161 - 85083543 70 864 916
Loans from credit institutions 11 235 653 989583 14 634 201 - 26 859 437 23500000
Other borrowings 1940045 8958226 24063076 NaN 34961347 28 768 762
Lease liabilities 257269 735088 2482904 564441 4039702 3261316
Trade payables 1125042 - - - 1125042 1125042
Total undiscounted financial liabilities 25 468 858 31 000 430 95 035 342 564441 152 069 071 127 520 036
NaN NaN NaN NaN NaN NaN NaN
As at 31 December 2024 Less than \n3 months 3 to \n12 months 1 to \n5 years Over\n5 years Total Carrying value
NaN NaN NaN NaN NaN NaN NaN
Financial liabilities NaN NaN NaN NaN NaN NaN
Bonds issued 1 053 702 5 268 508 63 704 480 - 70 026 690 52 973 115
Loans from credit institutions 354016 12 675 921 6 879 052 - 19 908 989 17 388 685
Other borrowings 2 002 931 6 956 808 19 988 751 - 28 948 490 24 300 558
Lease liabilities 265627 699936 1 981 643 737897 3 685 103 2 953 587
Trade payables 934352 - - - 934352 934352
Total undiscounted financial liabilities 4 610 628 25 601 173 92 553 926 737897 123 503 624 98 550 297