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5624_rns_2021-05-27_426ce768-596f-4386-935d-b7cb1a1e0b7b.pdf

Earnings Release

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SELECTED CONSOLIDATED FINANCIAL DATA

OF THE GIEŁDA PAPIERÓW WARTOŚCIOWYCH W WARSZAWIE S.A. GROUP

Selected data in the statement of comprehensive income, consolidated, under IFRS

Period ended 31 March
(unaudited)
2021 2020 2021 2020
PLN'000 EUR'000[1]
Sales revenue 112 287 97 201 25 977 21 366
Operating expenses (66 827) (56 061) (15 460) (12 323)
(Loss) on impairment of receivables (287) (1 061) (66) (233)
Other revenue 322 1 076 74 237
Other expenses (653) (866) (151) (190)
Operating profit 44 842 40 289 10 374 8 856
Financial income 129 4 278 30 940
Financial expenses (3 464) (9 101) (801) (2 001)
Share of profit/(loss) of entities measured by the equity method 5 358 1 981 1 240 435
Profit before tax 46 865 37 447 10 842 8 231
Income tax expense (8 204) (8 180) (1 898) (1 798)
Net profit for the period 38 661 29 267 8 944 6 433
Basic/Diluted earnings per share[2] (PLN, EUR) 0,92 0,70 0,21 0,15
EBITDA[3] 53 624 50 049 12 405 11 002

[1] At the incremental average exchange rate EUR/PLN for three months published by the National Bank of Poland (1 EUR = 4.5493 PLN in 2021 and 1 EUR = 4.3226 PLN in 2020).

[2] Based on net profit.

[3] EBITDA = operating profit + depreciation/amortisation.

As at
31 March
2021
(unaudited)
31 December
2020
31 March
2021
(unaudited)
31 December
2020
PLN'000 EUR'000[1]
Non-current assets: 601 782 588 819 129 129 129 345
Property, plant and equipment 94 924 97 333 20 369 21 381
Right-to-use assets 17 116 18 031 3 673 3 961
Intangible assets 248 221 247 308 53 263 54 326
Investment in entities measured by the equity method 226 814 220 395 48 669 48 414
Other non-current assets 14 707 5 752 3 156 1 264
Current assets: 870 367 773 362 186 762 169 884
Trade receivables and other receivables 69 171 55 229 14 843 12 132
Financial assets measured at amortised cost 417 058 294 986 89 492 64 799
Cash and cash equivalents 381 391 421 163 81 838 92 517
Other current assets 2 747 1 984 589 436
TOTAL ASSETS 1 472 149 1 362 181 315 891 299 229
Equity 963 894 924 167 206 831 203 011
Non-current liabilities: 159 484 281 570 34 222 61 852
Liabilities on bond issue 124 873 244 738 26 795 53 761
Lease liabilities 10 077 11 298 2 162 2 482
Other liabilities 24 534 25 534 5 264 5 609
Current liabilities: 348 771 156 444 74 839 34 366
Liabilities on bond issue 121 733 1 167 26 121 256
Lease liabilities 5 676 5 463 1 218 1 200
Other liabilities 221 362 149 814 47 500 32 910
TOTAL EQUITY AND LIABILITIES 1 472 149 1 362 181 315 891 299 229

[1] At the average exchange rate EUR/PLN of the National Bank of Poland as at 31.03.2021 (1 EUR = 4.6603 PLN) and as at 31.03.2020 (1 EUR = 4.5523 PLN).

SELECTED CONSOLIDATED FINANCIAL DATA

OF THE GIEŁDA PAPIERÓW WARTOŚCIOWYCH W WARSZAWIE S.A. GROUP

Selected data in the statement of comprehensive income, consolidated, under IFRS

As at /For the three-month
period ended 31 March
2021 2020
EBITDA margin (EBITDA/Sales revenue) 47,8% 51,5%
Operating profit margin (Operating profit/Sales revenue) 39,9% 41,4%
Return on equity (ROE) (Net profit for last 12 months/Average equity at the beginning and at the
end of the 12-month period)
4,4% 3,6%
Debt to equity (Lease liabilities and liabilities under bond issue/Equity) 27,2% 29,6%

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