AI assistant
Sending…
Green Earth Group NV — Audit Report / Information 2008
Mar 19, 2009
3830_iss_2009-03-19_6898bde4-7a08-47d7-ad5e-45a7f21877a5.pdf
Audit Report / Information
Open in viewerOpens in your device viewer
RSDB JAARCIJFERS 2008
$\mathcal{A}^{\mathcal{A}}_{\mathcal{A}}$
GECONSOLIDEERDE WINST- EN VERLIESREKENING
| (bedragen $x \in 1.000$ ) | 2008 | 2007 | index |
|---|---|---|---|
| Opbrengsten | 447.547 | 484.978 | 92 |
| Kosten van grond- en hulpstoffen | $-202.867$ | $-207.179$ | 98 |
| Kosten uitbesteed werk en andere externe kosten | $-31.747$ | $-46.887$ | 68 |
| Toegevoegde waarde | 212.933 | 230.912 | 92 |
| Overige baten | 3.126 | ||
| Personeelskosten | $-124.086$ | -133.072 | 93 |
| Afschrijvingen materiële vaste activa | $-31.661$ | $-33.288$ | 95 |
| Bijzondere waardeverminderingen | 254 | $-1.360$ | |
| Overige bedrijfskosten | $-51.609$ | -60.020 | 86 |
| Bedrijfsresultaat | 5831 | 6.298 | 93 |
| Financieringsopbrengsten | 518 | 443 | 117 |
| Financieringskosten | $-4.861$ | $-4.152$ | 117 |
| Resultaat geassocieerde deelnemingen | 0 | 3.731 | |
| Resultaat voor belastingen | 1.488 | 6.320 | 24 |
| Belastingen | $-202$ | -881 | 23 |
| Resultaat na belastingen | 1.286 | 5.439 | 24 |
| Toe te rekenen aan: | |||
| Aandeelhouders RSDB NV | 1.354 | 5.447 | 25 |
| Minderheidsbelangen | -68 | ||
| 1.286 | 5.439 | 24 | |
| Kengetallen | |||
| Gemiddeld aantal geplaatste gewone aandelen | 3.290.275 | 3,290.275 | |
| Winst per aandeel | 0,41 | 1,65 |
RSDB JAARCIJFERS 2008
GECONSOLIDEERDE BALANS
| (bedragen $x \in 1.000$ ) | 2008 | 2007 |
|---|---|---|
| ACTIVA Vaste Activa |
||
| Materiële vaste activa | 178.558 | 187.218 |
| Geassocieerde deelnemingen en joint-ventures | ||
| Overige vorderingen | 1.157 | 1.350 |
| 179.715 | 188.568 | |
| Viottende Activa | ||
| Voorraden | 12,285 | 8 5 5 4 |
| Handelsvorderingen | 70.953 | 78.977 |
| Overige vorderingen en vooruitbetalingen | 17.507 | 18.981 |
| Financiële derivaten | 87 | 271 |
| Geldmiddelen en kasequivalenten | 1.558 | 1.909 |
| 102.390 | 108.692 | |
| Activa geclassificeerd als aangehouden voor verkoop | 6.525 | 6.525 |
| 108.915 | 115.217 | |
| Totaal activa | 288.630 | 303.785 |
| PASSIVA | ||
| Eigen vermogen toe te rekenen aan de | ||
| moedermaatschappij | ||
| Geplaatst kapitaal | 16.451 | 16.451 |
| Agio | 12.833 | 12.833 |
| Ingehouden winst | 101.314 | 105.745 |
| Overige reserves | -426 | -89. |
| 130.172 | 134.940 | |
| Minderheidsbelangen | 288 | |
| Totaal eigen vermogen | $\frac{247}{130.419}$ | 135.228 |
| Langlopende verplichtingen | ||
| Voorzieningen | 16.031 | 21.479 |
| Rentedragende leningen: | ||
| Leningen | 10.500 | 6.450 |
| Leaseverplichtingen | 27,239 | 27.625 |
| 53.770 | 55.554 | |
| Kortlopende verplichtingen | ||
| Handelsschulden en overige verplichtingen | 56.811 | 75.197 |
| Kredietinstellingen | 25.988 | 11.804 |
| Rentedragende leningen | 9.494 | 12.604 |
| Te betalen belasting | 4.977 | 2.209 |
| Voorzieningen | 7.171 | 11.189 |
| 104.441 | 113.003 | |
| Totaal verplichtingen | 158.211 | 168 557 |
| Totaal passiva | 288.630 | 303 785 |
RSDB JAARCIJFERS 2008
GECONSOLIDEERD KASSTROOMOVERZICHT
$\sim$
| (bedragen $x \in 1.000$ ) | 2008 | 2007 |
|---|---|---|
| Kasstroom uit operationele activiteiten | ||
| Nettoresultaat | 1.286 | 5.439 |
| Afschrijvingen en bijzondere waardeverminderingen | 31.407 | 34.648 |
| Boekwinst op verkopen | $-6.857$ | |
| Mutaties | ||
| Mutaties in werkkapitaal | $-13.939$ | 20.718 |
| Mutaties in voorzieningen | -5.448 | $-3.559$ |
| Kasstroom uit operationele activiteiten | 13.306 | 50.389 |
| Kasstroom uit investeringsactiviteiten | ||
| Netto-investeringen in materiële vaste activa | $-23.024$ | $-30.224$ |
| Opbrengst op verkopen | 11.190 | |
| Mutatie leningen u/g | 943 | -48 |
| $-22.081$ | $-19.082$ | |
| Kasstroom uit financieringsactiviteiten | ||
| Rentedragende schulden | 14.738 | $-24.957$ |
| Dividend | -5.785 | -5.785 |
| 8.953 | $-30.742$ | |
| Omrekenverschillen vreemde valuta | $-529$ | -450 |
| Saldo kasstromen | $-351$ | 115 |
| Liquide middelen begin jaar | 1.909 | 1.794 |
| Liquide middelen einde jaar | 1.558 | 1.909 |
RSDB ANNUAL RESULTS 2008
$\begin{array}{cccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccccc$
CONSOLIDATED PROFIT AND LOSS ACCOUNT
| (amounts $x \in 1,000$ ) | 2008 | 2007 | index |
|---|---|---|---|
| Continued operating activities | |||
| Income | 447,547 | 484,978 | 92 |
| Costs of raw materials and consumables | $-202,867$ | $-207,179$ | 98 |
| Costs of work contracted out and other external costs | $-31,747$ | $-46,887$ | 68 |
| Value-added | 212,933 | 230,912 | 92 |
| Gain on sale of assets | 3,126 | ||
| Personnel expenses | $-124,086$ | $-133,072$ | 93 |
| Depreciations tangible fixed assets | $-31,661$ | $-33,288$ | 95 |
| Impairments | 254 | $-1,360$ | |
| Other operating costs | $-51,609$ | $-60,020$ | 86 |
| Operating result | 5,831 | 6,298 | 93 |
| Financing income | 518 | 443 | 117 |
| Financing costs | $-4,861$ | $-4, 152$ | 117 |
| Result associates | 0 | 3,731 | |
| Result before taxation | 1,488 | 6,320 | 24 |
| Income tax | $-202$ | -881 | 23 |
| Result after taxation | 1,286 | 5,439 | 24 |
| Attributed to: | |||
| Shareholders RSDB NV | 1,354 | 5,447 | 25 |
| Minority shares | -68 | -8 | |
| 1,286 | $\overline{5.439}$ | 24 | |
| Key figures | |||
| Average number of outstanding ordinary shares | 3,290,275 | 3,290,275 | |
| Earnings per share | 0.41 | 1.65 |
$\label{eq:3} \mathcal{L}(\mathcal{L}^{\text{max}}{\text{max}}(\mathcal{L}^{\text{max}}{\text{max}}, \mathcal{L}^{\text{max}}_{\text{max}})) = 0.$
$\sim 100$
RSDB ANNUAL RESULTS 2008
CONSOLIDATED BALANCE SHEET
| (amounts x € 1,000) | 2008 | 2007 |
|---|---|---|
| ASSETS | ||
| Fixed assets | ||
| Tangible fixed assets | 178,558 | 187,218 |
| Associated companies and joint-ventures | ||
| Other receivables | 1,350 | |
| $\frac{1,157}{179,715}$ | 188,568 | |
| Current assets | ||
| Stocks | 12,285 | 8,554 |
| Trade receivables | 70,953 | 78,977 |
| Other receivables and prepayments | 17,507 | 18,981 |
| Financial derivatives | 87 | 271 |
| Cash and cash equivalents | 1,558 | 1,909 |
| 102,390 | 108,692 | |
| Assets classified as held for sale | 6,525 | 6,525 |
| 108.915 | 115,217 | |
| Total assets | 288,630 | 303,785 |
| Shareholders' equity attributed to parent company | ||
| Capital issued | 16,451 | 16,451 |
| Share premium | 12,833 | 12,833 |
| Retained earnings | 101,314 | 105,745 |
| Other reserves | -426 | -89 |
| 130,172 | 134,940 | |
| Minority interests | 247 | 288 |
| Total shareholders' equity | 130,419 | 135,228 |
| Long-term liabilities | ||
| Provisions | 16,031 | 21,479 |
| Interest-bearing lonas: | ||
| Loans | 10,500 | 6,450 |
| Lease liabilities | 27,239 | 27,625 |
| Current liabilities | 53,770 | 55,554 |
| Trade debts and other liabilities | 56,811 | 75,197 |
| Finance companies | 25,988 | 11,804 |
| Interest-bearing loans | 9,494 | 12,604 |
| Income tax payable | 4,977 | 2,209 |
| Provisions | 7,171 | 11,189 |
| 104,441 | 113,003 | |
| Total liabilities | 158,211 | 168,557 |
| Total equity and liabilities | 288,630 | 303,785 |
RSDB ANNUAL RESULTS 2008
CONSOLIDATED STATEMENT OF CASH FLOW
| (amounts $x \in 1,000$ ) | 2008 | 2007 |
|---|---|---|
| Cash flow from operating activities | ||
| Net result | 1.286 | |
| 5.439 | ||
| Depreciation and impairments | 31.407 | 34,648 |
| Net gain on sales | $-6.857$ | |
| Changes in: | ||
| Working capital | $-13,939$ | 20,718 |
| Provision | -5,448 | $-3,559$ |
| Cash flow from business activities | 13,306 | 50.389 |
| Cash flow from investing activities | ||
| Net investments in tangible fixed assets | $-23,024$ | $-30,224$ |
| Proceeds on sales | 11.190 | |
| Change other financial fixed assets | 943 | -48 |
| $-22,081$ | $-19,082$ | |
| Cash flow from financing activities | ||
| Interest-bearing liabilities | 14,738 | $-24.957$ |
| Dividence paid | $-5,785$ | $-5,785$ |
| 8,953 | $-30,742$ | |
| Effect of changes in exchange rate | -529 | -450 |
| Net change in cash and cash equivalents | $-351$ | 115 |
| Cash and cash equivalents at beginning of year | 1,909 | 1.794 |
| Cash and cash equivalents at end of year | 1.558 | 1.909 |
$\label{eq:3} \begin{array}{lllllllllllllll} \bullet!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!\$
More from Green Earth Group NV
Annual Report (ESEF)
2026
May 12
Report Publication Announcement
2026
May 1
Regulatory Filings
2026
Apr 28
Earnings Release
2026
Apr 9
Declaration of Voting Results & Voting Rights Announcements
2025
Dec 12
Regulatory Filings
2025
Dec 9
AGM Information
2025
Dec 4
AGM Information
2025
Nov 3
M&A Activity
2025
Nov 3
Report Publication Announcement
2025
Oct 1