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Folli Follie S.A.

Annual / Quarterly Financial Statement Oct 5, 2015

2684_ir_2015-10-05_b270fc0d-d1ec-4fee-ac6d-f8349ff5b766.pdf

Annual / Quarterly Financial Statement

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Registered Office: 23rd Km Athens - Lamia National Road - Ag. Stefanos
Opening Date of Current Year: 1 January 2006
Closing Date of Current Year: 31 December 2006
Auditing Company: BAKER TILLY HELLAS SA
Certified Auditor Accountant: Varthalitis Georgios
Type of Auditors' Report: Unqualified Opinion
Date of Approval 22/8/2006
THE GROUP
1/1-30/6/2006 1/1-30/6/2005 1/1-30/6/2006 1/1-30/6/2005 THE GROUP THE COMPANY
Cash Flows related to Operating Activities ASSETS 30/6/2006 31/12/2005 30/6/2006 31/12/2005
Net Profit before taxes 50,602,573.18 36,740,146.91 21,694,448.96 15,424,131.82 Tangible Assets 59,503,562.22 29,269,571.73 16,854,772.37 17,175,960.39
Adjustments in respect of non-cash transactions: Investments in PPE 15,380,000.00 15,380,000.00 15,380,000.00 15,380,000.00
Depreciation and Amortisation 2,474,695.71 1,830,737.72 520,652.94 527,145.17 Intangible Assets 261,778,806.28 4,185,089.70 695,666.03 750,442.44
Provisions 661,205.00 757,489.83 111,000.00 114,493.02 Investments in associates 0.00 40,395,445.88 365,192,686.75 159,505,501.95
Cash flows from investing activities -4,610,479.77 -4,172,783.30 -21,405,770.16 -9,710,118.42 Deferred income tax assets 2,977,830.75 2,660,750.50 508,420.93 703,225.42
Debit interest and similar expenses 2,724,909.11 2,281,622.20 3,464,715.72 2,321,542.57 Other long term receivables 9,387,309.90 6,838,204.67 286,071.52 419,574.43
Other non-cash expense/income -224,129.15 Total non-current assets (a) 349,027,509.15 98,729,062.48 398,917,617.60 193,934,704.63
Operating profit before adjustments of working capital 51,852,903.23 37,437,213.36 4,385,047.46 8,453,065.01 Inventories 133,485,385.97 71,758,888.21 14,025,142.19 14,134,365.54
Decrease/(increase) of Inventories -8,358,655.20 -9,464,724.89 109,223.35 -868,645.33 Trade Receivables 123,164,323.95 121,290,148.36 18,169,538.86 18,872,475.88
Decrease/(increase) of Receivables -15,571,848.03 -12,740,838.65 519,067.23 -7,921,678.81 Other Receivables 26,664,570.09 6,199,578.58 2,438,219.89 2,395,951.33
Increase/(decrease) of payable accounts (except Banks) -9,590,274.78 -593,943.59 -2,037,902.58 7,869.61 Other financial assets at fair value through profit or loss 3,088,708.48 2,921,508.63 1,371,254.78 2,921,508.63
Interest paid and similar expenses -3,801,784.35 -2,549,139.54 -3,832,005.54 -2,458,058.98 Cash and cash equivalents 87,474,041.90 33,892,169.63 31,908,063.43 13,247,662.22
Income Tax paid -19,224,675.86 -2,084,719.72 -858,725.86 -426,032.16 Total current assets (b) 373,877,030.39 236,062,293.41 67,912,219.15 51,571,963.60
Net cash inflows/(outflows) from Operating Activities -4,694,334.99 10,003,846.97 -1,715,295.94 -3,213,480.66 TOTAL ASSETS (a) + (b) 722,904,539.54 334,791,355.89 466,829,836.75 245,506,668.23
Cash Flows related to Investing Activities LIABILITIES
Non-current liabilities
Purchases of subsidiaries, associates and other investments -202,989,646.90 0.00 -205,798,632.91 Long-term borrowings 328,797,729.49 125,149,592.17 322,287,143.31 119,499,958.91
Purchases of tangible and intangible assets -1,292,540.51 -7,798,485.19 -158,244.89 -77,916.34 Retirement benefit obligations 7,938,772.87 3,356,944.74 560,083.98 540,126.00
Proceeds from sale of tangible and intangible assets 113,428.56 37,875.81 18,227.36 9,826.75 Deferred income tax liabilities 14,923,991.28 1,047,943.78 1,097,721.63 1,035,080.14
Proceeds from sale of financial assets 1,961,153.98 722,403.84 1,961,153.98 722,403.84 Provisions for other liabilities and charges 4,961,273.34 4,054,878.43 777,317.11 698,272.82
Dividends received 0.00 9,152,004.96 20,987,836.25 9,712,939.00 Total non-current liabilities 356,621,766.98 133,609,359.12 324,722,266.03 121,773,437.87
Current liabilities
Interest received 1,076,875.24 267,517.34 167,289.82 136,516.41 Trade payables 43,399,303.77 15,829,100.60 1,383,372.18 3,487,817.55
Decrease/(increase) of other long-term receivables -288,507.00 -320,527.39 133,502.91 -28,805.97 Short-term Borrowings 6,972,066.39 5,047,457.92 6,303,331.36 4,863,495.62
Net cash inflows/(outflows) from Investing Activities -201,419,236.63 2,060,789.37 -182,688,867.48 10,474,963.69 Other current liabilities 40,980,064.52 18,332,977.03 14,098,755.35 6,052,479.60
Cash Flows related to Financing Activities Total current liabilities 91,351,434.68 39,209,535.55 21,785,458.89 14,403,792.77
Cash received from issue of share capital Total Liabilities (a) 447,973,201.66 172,818,894.67 346,507,724.92 136,177,230.64
Proceeds from Loans 206,103,807.00 5,762,009.14 204,427,020.14 0.00 EQUITY
Repayment of Loans -1,015,864.05 0.00 -1,164,305.72 Share capital 9,884,062.50 9,884,062.50 9,884,062.50 9,884,062.50
Payments for leases -315,046.94 -296,971.80 -61,773.91 -61,823.91 Share premium 62,531,731.47 62,531,731.47 62,531,731.47 62,531,731.47
Dividends paid -22,921,236.99 -3,696,058.08 -1,300,681.60 -2,700,008.28 Other reserves 35,230,254.32 24,513,525.66 20,075,581.21 19,679,018.84
Net cash inflows/(outflows) from Financing Activities 182,867,523.07 753,115.21 203,064,564.63 -3,926,137.91 Retained earnings 184,891,510.85 161,106,539.24 27,830,736.65 17,234,624.78
Net increase/(decrease) in cash and cash equivalents -23,246,048.55 12,817,751.55 18,660,401.21 3,335,345.12 Exchange differences -25,708,936.42 -12,980,009.96
Cash and cash equivalents at the beginning of the period 112,040,529.80 33,723,558.93 13,247,662.22 14,509,511.69 Other capital and reserves attributable to equity holders of the Company -88,927,927.73 -88,927,927.73
Exchange rate differences from the conversion of cash equivalents -1,320,439.35 -1,519,857.11 Total capital and reserves attributable
Cash and cash equivalents at the end of the period 87,474,041.90 45,021,453.37 31,908,063.43 17,844,856.81 to equity holders of the Company (b) 177,900,694.99 156,127,921.18 120,322,111.83 109,329,437.59
Minority interest (c) 97,030,642.89 5,844,540.04
Total Equity (d) = (b)+(c) 274,931,337.88 161,972,461.22 120,322,111.83 109,329,437.59
ADDITIONAL RECORDS AND INFORMATION TOTAL EQUITY AND LIABILITIES (e) = (a)+(d) 722,904,539.54 334,791,355.89 466,829,836.75 245,506,668.23
1. The same Accounting Policies have been followed as for the Balance Sheet at 31.12.2005. The Group applies the IFRS from 1 January 2005. DATA FROM INCOME STATEMENT FOR THE YEAR ( Amounts reported in Euro )
2. There are no real liens on non-current assets or property. THE GROUP THE COMPANY
Total Equity (d) = (b)+(c) 274,931,337.88 161,972,461.22 120,322,111.83 109,329,437.59
ADDITIONAL RECORDS AND INFORMATION TOTAL EQUITY AND LIABILITIES (e) = (a)+(d) 722,904,539.54 334,791,355.89 466,829,836.75 245,506,668.23
1. The same Accounting Policies have been followed as for the Balance Sheet at 31.12.2005. The Group applies the IFRS from 1 January 2005. DATA FROM INCOME STATEMENT FOR THE YEAR ( Amounts reported in Euro )
2. There are no real liens on non-current assets or property. THE GROUP THE COMPANY THE GROUP THE COMPANY
3. There are no disputed or under arbitration cases of national or administrative courts that may have a material effect on the financial position of the Company. 1/1-30/6/2006 1/1-30/6/2005 1/1-30/6/2006 1/1-30/6/2005 1/4-30/6/2006 1/4-30/6/2005 1/4-30/6/2006 1/4-30/6/2005
4. The personnel employed in the Group, as at 30.06.2006, amounted to 2.395 and in the Company to 292 persons.
5. Mother Company and Subsidiaries transactions and FF Group of Companies and other related parties transactions as set out in IAS 24 , for period 01/01/2006 to 30/06/2006 :
a)Between Mother Company and Subsidiaries (Amount in Thousand Euro) sales : 4.662 / Acquisitions : 37 & Receivables : 8.864 / Payables : 127
Sales Revenue 167,278,969.85 100,764,368.78 17,108,821.45 19,169,098.90 105,428,203.28 47,433,632.87 6,938,487.04 7,543,963.54
Cost of goods sold -73,263,844.06 -38,240,224.00 -5,351,175.92 -6,210,905.02 -49,063,434.97 -16,937,349.46 -2,068,876.57 -2,396,626.30
Gross profit 94,015,125.79 62,524,144.78 11,757,645.53 12,958,193.88 56,364,768.31 30,496,283.41 4,869,610.47 5,147,337.24
b)Between FF Group and other related parties as set out in IAS 24 sales : 547 / Acquisitions : 47 & Receivables : 0 / Payables : 480 . Other operating income 6,538,651.97 2,183,278.04 950,133.81 1,866,041.87 5,760,227.51 787,930.69 506,368.41 846,331.08
6.Purchases of tangible and intangible assets for the period 1/1-30/06/2006 (Amount in Thousand Euro) : a)Group € 2.699 b)Company € 454 Administrative expenses -8,683,336.00 -5,399,320.35 -2,605,031.49 -2,103,723.85 -5,599,373.44 -2,474,314.39 -1,403,869.58 -1,122,146.35
7. For the un-audited tax years of the parent company and its subsidiaries where the possibility exists for tax audit differences to arise it has been performed a relative provision.
8.In the consolidated financial statements are included the following companies:
Selling and marketing costs -42,195,566.84 -24,345,052.27 -5,883,894.51 -5,084,730.84 -27,310,050.80 -13,502,995.54 -3,219,948.66 -2,937,554.36
Other expenses -938,303.46 -656,580.74 -499,029.00 -39,218.58 -568,036.38 -363,289.54 -344,461.44 -16,871.36
Operating profit 48,736,571.46 34,306,469.46 3,719,824.34 7,596,562.48 28,647,535.20 14,943,614.63 407,699.20 1,917,096.25
Finance costs - profit 1,491,212.01 1,156,215.64 581,626.59 577,770.26 931,625.56 753,202.35 57,086.61 182,547.66
Finance costs - expenses -3,801,784.35 -2,549,139.54 -3,594,838.22 -2,421,839.96 -2,418,058.33 -1,378,841.00 -2,314,824.22 -1,310,896.04
Share of profit of associates 4,176,574.06 3,826,601.35 20,987,836.25 9,671,639.04 2,817,073.61 2,587,452.03 20,987,836.25 9,671,639.04
Profit before taxes (EBT) 50,602,573.18 36,740,146.91 21,694,448.96 15,424,131.82 29,978,176.04 16,905,428.01 19,137,797.84 10,460,386.91
Income tax expense -11,402,659.54 -7,602,948.24 -1,776,601.61 -1,923,081.42 -7,331,971.84 -3,423,853.54 -922,700.48 -250,883.90
REGISTERED % RELATION UN-AUDITED Profit for the period (after taxes) 39,199,913.64 29,137,198.67 19,917,847.35 13,501,050.40 22,646,204.20 13,481,574.47 18,215,097.36 10,209,503.01
COMPANY OFFICE PARTICIPATION THAT COMMANDED CONSOLIDATION METHOD TAX Attributable to: 0.00
THE CONSOLIDATION YEARS Equity holders of the Company 34,331,997.86 29,453,471.26 17,779,888.42 13,813,613.98
FOLLI FOLLIE A.B.E.E. ATHENS - 2005 Minority interest -4,867,915.78 -316,272.59 -4,869,515.78 -332,039.51
FOLLI FOLLIE HONG KONG LTD HONG KONG 99.99% Direct Full 1999-2005 Earnings (after taxes) per share - basic (expressed in €) 1.04 0.89 0.60 0.41 0.54 0.42 0.55 0.31
FOLLI FOLLIE UK LTD LONDON 99.99% Direct Full 2004-2005 Amortisation - Depreciation 2,474,695.17 1,830,737.72 520,652.94 527,145.17 1,581,295.32 988,717.63 269,724.36 261,516.50
FOLLI FOLLIE FRANCE SA PARIS 99.94% Direct Full 2003-2005 Earnings (profit) before taxes, financing and investing results
FOLLI FOLLIE SPAIN SA MADRID 100% Direct Full 2002-2005 and depreciation - amortisation (EBITDA) 51,211,266.63 36,137,207.18 4,240,477.28 8,123,707.65 30,228,830.52 15,932,332.26 677,423.56 2,178,612.75
FOLLI FOLLIE CZECH SRO PRAGUE 100% Direct Full 2001-2005 Earnings (profit) before taxes, financing and investing results (EBIT) 48,736,571.46 34,306,469.46 3,719,824.34 7,596,562.48 28,647,535.20 14,943,614.63 407,699.20 1,917,096.25
FOLLI FOLLIE POLAND SZOO WARSAW 100% Direct Full 2001-2005
FOLLI FOLLIE SLOVAKIA SRO BRATISLAVA 100% Direct Full 2001-2005 DATA FROM STATEMENT OF CHANGES IN EQUITY FOR THE YEAR ( Amounts reported inEuro )
COMPANY REGISTERED
OFFICE
%
PARTICIPATION
THAT COMMANDED CONSOLIDATION METHOD TAX Attributable to: 0.00
THE CONSOLIDATION YEARS Equity holders of the Company 34,331,997.86 29,453,471.26
FOLLI FOLLIE A.B.E.E. ATHENS - 2005 Minority interest -4,867,915.78 -316,272.59
FOLLI FOLLIE HONG KONG LTD HONG KONG 99.99% Direct Full 1999-2005 Earnings (after taxes) per share - basic (expressed in €) 1.04 0.89 0.60 0.41
FOLLI FOLLIE UK LTD LONDON 99.99% Direct Full 2004-2005 Amortisation - Depreciation 2,474,695.17 1,830,737.72 520,652.94 527,145.17
FOLLI FOLLIE FRANCE SA PARIS 99.94% Direct Full 2003-2005 Earnings (profit) before taxes, financing and investing results
FOLLI FOLLIE SPAIN SA MADRID 100% Direct Full 2002-2005 and depreciation - amortisation (EBITDA) 51,211,266.63 36,137,207.18 4,240,477.28 8,123,707.65
FOLLI FOLLIE CZECH SRO PRAGUE 100% Direct Full 2001-2005 Earnings (profit) before taxes, financing and investing results (EBIT) 48,736,571.46 34,306,469.46 3,719,824.34 7,596,562.48
FOLLI FOLLIE POLAND SZOO WARSAW 100% Direct Full 2001-2005
FOLLI FOLLIE SLOVAKIA SRO BRATISLAVA 100% Direct Full 2001-2005 DATA FROM STATEMENT OF CHANGES IN EQUITY FOR THE YEAR ( Amounts reported inEuro )
FOLLI FOLLIE GERMANY Gmbh TRAOUNSTAIN 100% Direct Full 2005 THE GROUP THE COMPANY
MFK FASHION LTD NICOSIA 100% Direct Full 2002-2005 30/6/2006 30/6/2005 30/6/2006 30/6/2005
PLANACO SA ATHENS 76.67% Direct Full 2003-2005 Net equity of period Open.Balance (1/1/2005 and 1/1/2004 respectively) 161,972,461.22 95,908,062.29 109,329,437.59 101,349,048.11
HELLENIC DUTY FREE SHOPS ATHENS 49.36% Direct Full 2005 Issue of share capital 0.00 0.00
FOLLI FOLLIE JAPAN LTD TOKYO 40% Direct Full 2001-2005 Dividends -8,845,951.25 -8,697,492.50 -8,566,187.50 -7,248,312.50
FOLLI FOLLIE ASIA LTD HONG KONG 99.99% Indirect Full 2001-2005 Directors Fees -313,514.50 -326,541.80 -250,000.00 -200,000.00
FOLLI FOLLIE TAIWAN LTD TAIPEI 99.99% Indirect Full 2004-2005 Minority interest (Due to :New Subsidiaries / Increase of participation ) 86,318,066.26
FOLLI FOLLIE KOREA LTD SEOUL 99.99% Indirect Full 2003-2005 Net amounts effected directly Equity(Due to:New Subsidiaries/Increase of participation ) 9,438,947.00
FOLLI FOLLIE SINGAPORE LTD SINGAPORE 99.99% Indirect Full 2004-2005 Profit for the period, after taxes 39,199,913.64 29,137,198.67 19,917,847.35 13,501,050.40
BLUEFOL GUAM LTD GUAM 99.99% Indirect Full 1999-2005 Adjustment in foreign currency translation differences -12,729,598.88 15,289,696.15 0.00 0.00
BLUEFOL HAWAII LTD HAWAII 99.99% Indirect Full 2000-2005 Own Stock -108,985.61 0.00 -108,985.61 0.00
BLUEFOL HONG KONG LTD HONG KONG 99.99% Indirect Full 2001-2005 Net equity of period Closing Balance 274,931,337.88 131,310,922.81 120,322,111.83 107,401,786.01
FOLLI FOLLIE MALAYSIA LTD KUALA LUMPUR 99.99% Indirect Full 2004-2005
BLUEFOL THAILAND LTD BANGKOK 99.99% Indirect Full 2001-2005

"FOLLI - FOLLIE" SA

Companies Registar No. 18989/06/B/89/17

INTERIM FINANCIAL STATEMENTS FOR THE PERIOD FROM 1 JANUARY TO 30 JUNE 2006

THE GROUP THE COMPANY

CASH FLOW STATEMENT (Amounts reported in Euro) BALANCE SHEET (Amounts reported in Euro) posted the Interim Financial Statements prepared according to the International Financial Reporting Standards accompanied with the Review Report of the Certified Auditor Accountant where it is necessary.

The following data and information aim to provide a general briefing for the financial position and the results of operations of "FOLLI - FOLLIE" A.E. Therefore, it is recommended, to any reader, before proceeding to any kind of investment decision or other transaction with the Company, to visit the Company's web site, at the address www.follifollie.com where are

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