Interim / Quarterly Report • Sep 14, 2018
Interim / Quarterly Report
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| 30 June 2018 | 30 June 2017 | |
|---|---|---|
| € | € | |
| Sales | ||
| Cost of sales | 27.767.640 | 25.680.417 |
| (23.490.792) | (21.971.593) | |
| Gross profit | 4.276.848 | 3.708.824 |
| Administrative expenses | (4.267.808) | (3.650.363) |
| Profit from operations | 9.040 | 58.461 |
| Finance costs – net |
(307.816) | (351.624) |
| Share of profit of associated companies | 745.127 | 561.174 |
| Profit before taxation | 446.351 | 268.011 |
| Group profit before minority interest | 446.351 | 268.011 |
| Attributable to: | ||
| Company shareholders | 380.018 | 147.814 |
| Minority interest | 66.333 | 120.197 |
| 446.351 | 268.011 | |
| Earnings per share (cents): | Cents | Cents |
| Basic | 0.98 | 0.38 |
| Fully diluted | 0.98 | 0.38 |
| 30 June | 31 December | |
|---|---|---|
| 2018 | 2017 | |
| € | € | |
| ASSETS | ||
| Non-current assets | ||
| Property. plant and equipment |
12.111.822 | 12.318.458 |
| Intangible assets | 1.072.109 | 986.344 |
| Investments in associated company | 1.095.334 | 2.472.926 |
| Financial assets available for sale | 492.124 | 493.124 |
| 14.772.389 | 16.270.852 | |
| Current assets | ||
| Stocks | 21.451 | 18.451 |
| Trade and other receivables | 18.734.403 | 16.644.966 |
| Cash and cash equivalents | 7.803.979 | 10.781.379 |
| 26.559.833 | 27.444.796 | |
| Total assets | 41.332.222 | 43.715.648 |
| LIABILITIES AND SHAREHOLDER INTEREST | ||
| Non-current liabilities | ||
| Borrowings | 6.282.491 | 6.662.103 |
| Deferred tax liabilities | 854.327 | 854.327 |
| Liabilities of associated company | 327.855 | 342.835 |
| 7.464.673 | 7.859.265 | |
| Current liabilities | ||
| Trade and other creditors | 12.433.202 | 16.160.257 |
| Current tax liabilities | 258.256 | 258.256 |
| Borrowings / overdrafts |
8.247.499 | 7.048.006 |
| 20.938.957 | 23.466.519 | |
| Total liabilities | 28.403.630 | 31.325.784 |
| Capital and reserves | ||
| Share capital | 6.587.540 | 6.587.540 |
| Difference from conversion of capital into Euro | 33.332 | 33.332 |
| Other reserves | (346.845) | (416.127) |
| Retained earnings | 3.476.588 | 3.096.570 |
| 9.750.615 | 9.301.315 | |
| Minority interest | 3.177.977 | 3.088.549 |
| 12.928.592 | 12.389.864 | |
| Total equity and liabilities | 41.332.222 | 43.715.648 |
| Share capital |
Difference from conversion of capital into Euro |
Other reserves |
Earnings retained |
Minority interest |
Total | |
|---|---|---|---|---|---|---|
| € | € | € | € | € | € | |
| As at 1 January 2017 | 6.587.540 | 33.332 | (163.815) | 2.386.476 | 2.746.628 | 11.590.161 |
| 6.587.540 | 33.332 | (163.815) | 2.386.476 | 2.746.628 | 11.590.161 | |
| Net profit | 147.814 | 120.197 | 268.011 | |||
| Exchange difference / profit recognised in equity |
115.161 | 38.379 | 153.540 | |||
| As at 30 June 2017 | 6.587.540 | 33.332 | (48.654) | 2.534.290 | 2.905.204 | 12.011.712 |
| As at 1 January 2018 | 6.587.540 | 33.332 | (416.127) | 3.096.570 | 3.088.549 | 12.389.864 |
| 6.587.540 | 33.332 | (416.127) | 3.096.570 | 3.088.549 | 12.389.864 | |
| Net profit | 380.018 | 66.333 | 396.351 | |||
| Exchange difference / profit recognised in equity |
69.282 | 23.095 | 92.377 | |||
| As at 30 June 2018 | 6.587.540 | 33.332 | (346.845) | 3.476.588 | 3.177.977 | 12.928.592 |
| 30 June 2018 | 30 June 2017 | |
|---|---|---|
| € | € | |
| CASH FLOW FROM OPERATING ACTIVITIES | ||
| Profit before taxation | 446.351 | 268.011 |
| Adjustments for: | ||
| Depreciation of intangible and fixed assets | 542.057 | 571.407 |
| Debit interest | 340.608 | 452.334 |
| Credit interest | (80.424) | (100.710) |
| Share of gain in associated company | (745.127) | (561.174) |
| Unrealised exchange difference | (78.530) | (210.130) |
| Operating profit before changes in working capital Changes in working capital: |
424.935 | 419.738 |
| -Debtors | (1.534.736) | 456.236 |
| -Creditors | (3.904.389) | (3.910.634) |
| -Stocks | (3.891) | 682 |
| Cash flow in operating activities | (5.018.081) | (3.033.978) |
| Tax paid | (194.797) | -- |
| Net cash flow in operating activities | (5.212.878) | (3.033.978) |
| CASH FLOW IN INVESTING ACTIVITIES | ||
| Purchase of fixed and intangible assets | (421.186) | (320.902) |
| Interest received | 80.404 | 100.710 |
| Net cash flow in investing activities | (340.782) | (220.192) |
| CASH FLOW IN FINANCING ACTIVITIES | ||
| Repayment of loans | (651.034) | (861.226) |
| Interest paid | (340.608) | (452.334) |
| Dividends collected from associated company |
2.109.450 | - |
| Net cash flow from/in financing activities | 1.117.808 | (1.313.560) |
| Net decrease in cash and cash equivalents |
(4.435.852) | (4.567.730) |
| Cash and cash equivalents at beginning of period | 5.015.350 | 3.348.512 |
| Cash and cash equivalents at end of period | 579.498 | (1.219.218) |
| Bank balances and cash in hand | 7.803.979 | 6.873.296 |
| Bank overdrafts | (7.224.481) | (8.092.514) |
| 579.498 | (1.219.218) |
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