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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

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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

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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

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$\sim 100$

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

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