Interim / Quarterly Report • Sep 28, 2020
Interim / Quarterly Report
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| Six months ended 30 June | |||
|---|---|---|---|
| 2020 | 2019 | ||
| € | € | ||
| Income | |||
| Income from dividends | - | 533.116 | |
| Income from interest | 100.717 | 110.438 | |
| Income from rents | 779.414 | 578.782 | |
| Profit from financial assets | - | 11.494.294 | |
| 880.131 | 12.716.630 | ||
| Operating expenses | (906.968) | (1.153.780) | |
| Loss from financial assets | (2.028.125) | - | |
| Reversal of expected credit losses | 10.491 | 255.295 | |
| Finance costs | (170.990) | (107.556) | |
| (Provision) / Reversal of provision for share in loss from affiliates | (32.959) | 39.262 | |
| Share in profit from affiliates | 3.711.837 | - | |
| Profit before taxation | 1.463.417 | 11.749.851 | |
| Taxation | (19.082) | (30.019) | |
| Net profit for the period | 1.444.335 | 11.719.832 | |
| Other comprehensive expenses | |||
| Amounts to be classified in the consolidated profit or loss account in future | |||
| periods | |||
| Share in loss from affiliates | (505.501) | - | |
| Total income for the period | 938.834 | 11.719.832 | |
| Net profit attributable to: | |||
| Shareholders of the Company | 1.444.335 | 11.719.832 | |
| Profit per share - cents | 0.72 | 5.86 | |
| Total profit attributable to: | |||
| Shareholders of the Company | 938.834 | 11.719.832 | |
| Total income per share - cents | 0.47 | 5.86 |
| 30 June | 31 December | |
|---|---|---|
| 2020 | 2019 | |
| € | € | |
| ASSETS | ||
| Non-current assets | ||
| Intangible fixed assets | 1.556.579 | 1.590.565 |
| Investments to affiliates | 202.287.852 | 199.084.037 |
| Immovable property for investment | 33.060.976 | 32.646.596 |
| Receivables from affiliates | 11.330.057 | 11.230.249 |
| Deferred taxation | 300.708 | 300.708 |
| Total non-current assets | 248.536.172 | 244.852.155 |
| Current assets | ||
| Inventories | 7.255.133 | 7.223.619 |
| Other receivables | 373.936 | 119.882 |
| Financial assets at fair value through profit and loss | 13.536.879 | 15.565.135 |
| Bank deposits | 8.000 | 842.032 |
| Cash and cash equivalents | 1.232.103 | 2.537.297 |
| Current tax claims | 20.986 | 26.739 |
| Total current assets | 22.427.037 | 26.314.704 |
| Total assets | 270.963.209 | 271.166.859 |
| NET POSITION AND LIABILITIES | ||
| Equity | ||
| Share capital | 140.000.000 | 140.000.000 |
| Reserves | 118.604.370 | 117.668.057 |
| Total equity | 258.604.370 | 257.668.057 |
| Long-term liabilities | ||
| Long-term loans | 7.240.319 | 9.902.172 |
| Total long-term liabilities | 7.240.319 | 9.902.172 |
| Current liabilities | ||
| Current instalments of long-term loans | 1.840.426 | 483.410 |
| Provision for losses of affiliates | 2.456.214 | 2.423.255 |
| Trade and other creditors | 821.880 | 689.965 |
| Total current liabilities | 5.118.520 | 3.596.630 |
| Total equity and liabilities | 270.963.209 | 271.196.859 |
| Net asset per share - cents | 129.30 | 128.83 |
| Six months ended 30 June | |||
|---|---|---|---|
| 2020 | 2019 | ||
| € | € | ||
| Cash flow from operating activities | |||
| Profit before taxation | 1.463.417 | 11.749.851 | |
| Adjustment for: | |||
| Depreciation of intangible fixed assets | 39.836 | 42.502 | |
| Loss/(profit) from disposal and revaluation of financial assets at fair price | |||
| through profit and loss | 2.028.125 | (11.494.294) | |
| Loss from sale of fixed assets | 1.970 | - | |
| Provision / (reversal of provision) for share in loss from affiliates | 32.959 | (39.262) | |
| Share in profit from affiliates | (3.711.837) | - | |
| Reversal of expected credit losses | (10.363) | (252.309) | |
| Interest of loans payable | 165.892 | 47.322 | |
| Net cash flow before changes in working capital | 9.999 | 53.810 | |
| Decrease / (Increase) in inventories | (31.514) | 288.072 | |
| (Increase) / decrease in other receivables | (254.054) | 85.191 | |
| Net purchases and sales of financial assets at fair value through profit and | |||
| loss | 131 | (49.304.574) | |
| Increase in receivables from affiliates | (99.808) | (97.553) | |
| Decrease in bank deposits | 844.395 | 10.701.352 | |
| Increase / (decrease) in trade and other creditors | 131.915 | (177.382) | |
| Purchase of immovable property for investment | (414.380) | (149.055) | |
| Cash from / (for) operating activities | 186.684 | (38.600.139) | |
| Tax paid | (13.329) | (8.244) | |
| Net cash from / (for) operating activities | 173.355 | (38.608.383) | |
| Cash flow from investing activities | |||
| Purchase of intangible fixed assets | (7.820) | (31.444) | |
| Net cash flow for investing activities | (7.820) | (31.444) | |
| Cash flow from financing activities | |||
| Proceeds from new loans | - | 10.500.000 | |
| Repayment of loans | (1.470.729) | (22.377) | |
| Net cash (for) / from financing activities | (1.470.729) | 10.477.623 | |
| Net decrease in cash and cash equivalents | (1.305.194) | (28.162.204) | |
| Cash and cash equivalents at beginning of period | 2.537.297 | 30.989.211 | |
| Cash and cash equivalents at end of period | 1.232.103 | 2.827.007 |
for the period 1 January 2020 to 30 June 2020
| Share capital |
Exchange difference |
Negative goodwill |
Accumulated Loss |
Total equity |
|
|---|---|---|---|---|---|
| € | reserve | reserve | € | € | |
| € | |||||
| € | |||||
| Balance as at 1 January 2019 |
140.000.000 | 319.437 | - | (16.550.956) | 123.768.481 |
| Profit for the period | - | - | - | 11.719.832 | 11.719.832 |
| Balance as at 30 June 2019 | 140.000.000 | 319.437 | - | (4.831.124) | 135.488.313 |
| Balance as at 1 January 2020 |
140.000.000 | 319.767 | 119.850.066 | (2.501.446) | 257.668.057 |
| Profit for the period | - | - | - | 1.444.335 | 1.444.335 |
| Other total cost for the period | - | - | - | (505.501) | (505.501) |
| Other transactions with shareholders |
- | - | - | (2.521) | (2.521) |
| Balance as at 30 June 2019 |
140.000.000 | 319.437 | 119.850.066 | (1.565.133) | 258.604.370 |
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