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GPW - Giełda Papierów Wartościowych w Warszawie S.A. — Interim / Quarterly Report 2021
Sep 21, 2021
5624_rns_2021-09-21_ddd860fc-fc7b-4c64-8fbb-c0cd7b3c2eec.pdf
Interim / Quarterly Report
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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, not audited
| Period ended 30 June (unaudited) |
||||
|---|---|---|---|---|
| 2021 | 2020 | 2021 | 2020 | |
| PLN'000 | EUR'000[1] | |||
| Sales revenue | 209 437 | 198 643 | 46 123 | 44 997 |
| Operating expenses | (116 787) | (100 214) | (25 719) | (22 700) |
| Gains on reversed impairment of receivables/(Losses) on impairment of receivables |
1 302 | (278) | 287 | (63) |
| Other revenue | 679 | 1 795 | 150 | 407 |
| Other expenses | (601) | (5 468) | (132) | (1 239) |
| Operating profit | 94 030 | 94 478 | 20 708 | 21 401 |
| Financial income | 369 | 5 425 | 81 | 1 229 |
| Financial expenses | (6 647) | (14 748) | (1 464) | (3 341) |
| Share of profit/(loss) of entities measured by the equity method |
13 217 | 6 385 | 2 911 | 1 446 |
| Profit before tax | 100 969 | 91 541 | 22 236 | 20 736 |
| Income tax expense | (17 052) | (18 784) | (3 755) | (4 255) |
| Net profit for the period | 83 917 | 72 757 | 18 481 | 16 481 |
| Basic/Diluted earnings per share[2] (PLN, EUR) | 2,00 | 1,73 | 0,44 | 0,39 |
| EBITDA[3] | 111 422 | 113 220 | 24 538 | 25 647 |
[1] At the incremental average exchange rate EUR/PLN for six months published by the National Bank of Poland (1 EUR = 4.5408 PLN in 2021 and 1 EUR = 4.4146 PLN in 2020).
[2] Based on net profit.
[3] EBITDA = operating profit + depreciation/amortisation.
Selected data in the statement of financial position, consolidated, under IFRS, not audited
| As at | |||||
|---|---|---|---|---|---|
| 30 June 2021 (unaudited) |
31 December 2020 |
30 June 2021 (unaudited) |
31 December 2020 |
||
| PLN'000 | EUR'000[1] | ||||
| Non-current assets: | 599 527 | 592 110 | 132 615 | 132 582 | |
| Property, plant and equipment | 92 809 | 97 333 | 20 529 | 21 794 | |
| Right-to-use assets | 11 533 | 13 984 | 2 551 | 3 131 | |
| Intangible assets | 256 209 | 253 200 | 56 673 | 56 695 | |
| Investment in entities measured by the equity method | 226 586 | 220 395 | 50 121 | 49 350 | |
| Other non-current assets | 12 390 | 7 198 | 2 741 | 1 612 | |
| Current assets: | 844 358 | 773 362 | 186 772 | 173 167 | |
| Trade receivables and other receivables | 65 754 | 55 229 | 14 545 | 12 367 | |
| Financial assets measured at amortised cost | 499 229 | 305 131 | 110 429 | 68 323 | |
| Cash and cash equivalents | 275 922 | 411 018 | 61 034 | 92 033 | |
| Other current assets | 3 453 | 1 984 | 764 | 444 | |
| TOTAL ASSETS | 1 443 885 | 1 365 472 | 319 387 | 305 748 | |
| Equity | 897 158 | 918 129 | 198 451 | 205 582 | |
| Non-current liabilities: | 167 150 | 288 947 | 36 974 | 64 699 | |
| Liabilities on bond issue | 124 937 | 244 738 | 27 636 | 54 800 | |
| Lease liabilities | 6 846 | 9 493 | 1 514 | 2 126 | |
| Other liabilities | 35 367 | 34 716 | 7 823 | 7 773 | |
| Current liabilities: | 379 577 | 158 396 | 83 962 | 35 467 | |
| Liabilities on bond issue | 121 127 | 1 167 | 26 793 | 261 | |
| Lease liabilities | 5 411 | 5 396 | 1 197 | 1 208 | |
| Other liabilities | 253 039 | 151 833 | 55 972 | 33 998 | |
| TOTAL EQUITY AND LIABILITIES | 1 443 885 | 1 365 472 | 319 387 | 305 748 |
[1] At the average exchange rate EUR/PLN of the National Bank of Poland as at 31.06.2021 (1 EUR = 4.5208 PLN) and as at 31.06.2020 (1 EUR = 4.4660 PLN).
SELECTED CONSOLIDATED FINANCIAL DATA OF THE GIEŁDA PAPIERÓW WARTOŚCIOWYCH W WARSZAWIE S.A. GROUP
Selected financial ratios of the Group
| As at 30 June/ Six-month period ended 30 June |
||
|---|---|---|
| 2021 | 2020 | |
| EBITDA margin (EBITDA/Sales revenue) | 53,2% | 57,0% |
| Operating profit margin (Operating profit/Sales revenue) | 44,9% | 47,6% |
| Return on equity (ROE) (Net profit for last 12 months/Average equity at the beginning and at the end of the 12-month period) |
18,8% | 15,2% |
| Debt to equity (Lease liabilities and liabilities under bond issue/Equity) | 28,8% | 31,4% |
| Cost / income (GPW Group operating expenses / GPW Group sales revenue (for a 6-month period)) |
55,8% | 50,4% |
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