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Gr. Sarantis S.A.

Registration Form Sep 29, 2015

2712_10-q_2015-09-29_05fab735-e35d-41c0-bc68-680c0e407eea.pdf

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GRIGORIS SARANTIS S.A.ANONYMOUS INDUSTRIAL & COMMERCIAL COMPANY OF COSMETICS, CLOTHING, HOUSEHOLD & PHARMACEUTICAL PRODUCTSREGISTRATION No. 13083/06/B/86/27

Data and information of period 1 of January till 30 of September 2007 (Published to the Law 2190, article 135 concerning companies which compile annual financial statements, either Consolidated or not under IFRS)

The fol
lowing
data an
d inform
ation a
im at p
roviding
l inform
genera
ation fo
r the fin
ancial s
tateme
nts and
results
of the
GR. SA
RANTI
S ABE
E and t
he GRO
UP. Th
e reade
r who s
eeks to
have a
iew of t
he fina
ncial , b
efore m
aking a
ny inve
stment
decisio
y other
n overv
n or an
transa
ction w
ith the
ny, to v
isit the
compa
ny web
site ww
compa
ntis.gr
where
the fina
w.sara
ncial st
atemen
ts acco
rding to
IFRS a
s well a
s the a
uditor's
review
report
, whene
uired, a
re post
ver req
ed.
INFOR
MATIO
N FOR
THE C
OMPA
NY
GROU
P STR
UCTUR
E
Full co
mpany
name
:
GR. SA
RANTI
S A.B.E
.E.
COMP
ANY
COUNT
RY
DIREC
T
PARTI
CIPAT
ION
INDIRE
CT
PARTI
CIPAT
ION
TOTAL UNAUD
AX YEARS
ITED T
Addres
s base
:
Amaro
usiou -
Halan
driou 2
6 Str.,
151 25
, Marou
si
FULL C
ONSO
LIDAT
ION ME
THOD
PERCE
NTAGE
PERCE
NTAGE
Date o
f incor
poratio
n:
1964 VENTU
RES A
.E.
GREEC
E
88.66% 0.00% 88.66% 2005-2
006
Duratio
n of th
e com
pany:
Main a
ctivity
:
31 Dec
. 2040
ANONY
MOUS
INDUS
TRIAL
& COM
MERC
IAL CO
OF CO
SMETI
MPANY
CS, CL
OTHIN
G, HOU
SEHOL
D &
GR SA
RANTI
S CYP
RUS L
IMITED
DALE S
ERVIC
ES S.A
BRIAR
CYPRU
S
ISLE O
F MAN
100.00
%
0.00%
0.00%
%
100.00
100.00
%
%
100.00
-
-
Regist
ration
no:
13083/
06/Β/86
/27
SARAN
TIS BU
LGARI
A L.T.D
BULGA
RIA
0.00% 100.00
%
100.00
%
1999-2
006
Superv
ising a
uthorit
y:
MINIST
RY OF
DEVE
LOPME
NT, DE
PT. OF
ANON
YMOU
S COM
PANIE
S & CR
EDIT
SARAN
TIS RO
MANIA
S.A
ROMA
NIA
0.00% 100.00
%
100.00
%
2006
SARAN
TIS DIS
TRIBU
TION S
.C
ROMA
NIA
0.00% 100.00
%
100.00
%
2006
V.A.T.
no:
094017
922 / D
OY FA
VE AT
HINON SARAN
TIS L.T
GRADE
.D BEL
SARAN
TIS SK
OPJE L
.T.D
SERBI
A
SKOPJ
E
0.00%
0.00%
100.00
%
100.00
%
100.00
%
100.00
%
-
-
Grigori
s Sara
ntis son
of Pan
tazis: P
residen
t - Exec
utive m
ember,
SARAN
TIS PO
LSKA S
.A
POLAN
D
0.00% 100.00
%
100.00
%
2006
Kiriako
s Sara
ntis son
of Pan
Konsta
ntinos
Rozake
as son
tazis: V
ice Pre
sident
of Petr
os: Exe
cutive m
- Mana
ging D
irector
ember,
- Execu
tive me
mber,
ΝΕΤ W
EST PO
LAND S
.A
SARAN
TIS CZ
ECH R
EPUBL
IC sro
POLAN
D
CZECH
REPU
BLIC
0.00%
0.00%
%
100.00
100.00
%
%
100.00
100.00
%
2005-2
006
2005-2
006
Pantaz
is Sara
ntis son
of Grig
oris: No
utive m
n exec
ember, VENUS
S.A
LUXEM
BOURG
0.00% 100.00
%
100.00
%
-
Membe
rs of th
e boar
d of Di
rectors
:
Aikater
ini Sara
nti dau
ghter o
Konsta
ntinos
Stamat
iou son
f Panta
zis: No
n exec
of Fok
ionos:
Execut
utive m
ember,
ive me
mber,
ΖΕΤΑ
ΑΕ
ΖΕΤΑ F
IN LTD
GREEC
E
CYPRU
S
0.00%
0.00%
100.00
%
100.00
%
100.00
%
100.00
%
2005-2
006
2002-2
006
Fotios
Mpomp
olas so
n of Ge
orgios:
Indepe
ndent a
nd non
Execu
tive me
mber, WALD
ECK LI
MITED
SAREA
ST
CYPRU
S
CYPRU
S
0.00%
0.00%
100.00
%
65.00%
100.00
%
65.00%
2006
2006
Nikolao
s Konti
dis son
of Kon
stantin
os: Ind
epende
nt and
non Ex
ecutive
memb
er,
SARAN
TIS RU
SSIA
RUSS
IA
0.00% 65.00% 65.00% 2006
ΖΕΤΑ C
OSMET
ICS LT
D
SARAN
TIS AN
ADOL
S.A.
CYPRU
S
TURKE
Y
0.00%
84.98%
100.00
%
0.00%
100.00
%
84.98%
2002-2
006
2005-2
006
Curren
t year
end:
31 Dec
. 2007
SARAN
TIS HU
NGARY
KFT
HUNG
ARY
0.00% 100.00
%
100.00
%
2006
Curren
t perio
d dura
tion:
Type o
f Finan
cial St
ateme
nts
12 MO
NTHS
SARAN
TIS UK
RAINE
S.A.
UKRA
INE
100.00
%
0.00% 100.00
%
2006
(from w
hich th
ese da
ta have
been e
xtracte
d):
INTER
IM OF
3rd QU
ARTER
2007
PROPO
RTION
AL CO
NSOLI
DATIO
N MET
HOD
Appro
val dat
e of F
inancia
l State
ments
(from w
hich th
ese da
ta have
been e
d):
xtracte
12/11/2
007
K. THE
ODOR
IDIS A.
E.
GREE
CE
50.00% 0.00% 50.00% 2004-2
006
Interne
t addre
ss:
arantis
www.s
.gr
ΟΤΟ
ΤOP
EOOD
BULGA
RIA
0.00% 25.50% 25.50% -
EQUIT
Y MET
HOD
K. P. M
ARINO
POULO
S A.E.
GREE
CE
49.00% 49.00% 2003-2
006
SOFT
FARMA
EPE
GREE
CE
0.00% 48.51% 48.51% -
A. CHR
ISOFO
GLOU
AE
FARMA
KEMPO
RIKI AE
GREE
CE
GREE
CE
0.00%
0.00%
29.40%
24.90%
29.40%
24.90%
-
-
ΕLCA C
OSMET
ICS LT
D
CYPRU
S
0.00% 49.00% 49.00% 2003-2
006
ESTEE
LAUD
ER HE
LLAS S
A
ΕSTEE
LAUD
ER BU
LGARI
A
GREE
CE
BULGA
RIA
0.00%
0.00%
49.00%
49.00%
49.00%
49.00%
2003-2
006
2003-2
006
ΙΜ COS
METIC
S SA
ROMA
NIA
0.00% 49.00% 49.00% 2003-2
006
BALAN
CE SH
EET AS
AT 30
SEPT
EMBER
2007
(Amou
nts are
sed in
Euro)
expres
DATA
FROM
INCOM
E STAT
EMENT
AT 30
SEPT
EMBER
2007
OTO T
OP WIT
H
OTO T
OP WIT
H
THE G
ROUP
PROPO
RTION
AL
CONSO
LIDAT
ION
THE C OMPA
NY
THE G ROUP PROPO
RTION
AL CO
SNOLI
DATIO
N
THE C
OMPA
NY
METHO
D
(Amou
nts are
sed in
Euro)
expres
METHO D
ASSET
S
01/01-
30/09/
2007
01/01-
31/12/
2006
01/01-
31/12/
2006 0
1/01-3
0/09/2
007 0
1/01-3
1/12/2
006
Total T
urnove
r
01/01-3
0/09/20
07
173,96
2,957.5
7
01/01-
30/09/2
006
159,40
2,599.4
4
01/07-
30/09/2
007
55,817
,152.45
01/07-
30/09/2
006
52,047
,066.21
01/01-
30/09/2
006
153,72
9,629.9
3
01/07-
30/09/2
006 0
50,011
,474.26
1/01-30
/09/200
7 01/
88,839
,340.84
01-30/0
9/2006
86,015
,660.45
01/07-
30/09/2
007 0
25,654
,597.37
1/07-30
/09/200
6
26,786
,515.39
Fixed a
ssets
40,491
,334.96
42,610
,678.03
42,398
,549.81
35,302
,921.87
36,974
,833.28
Gross
profit /
(loss)
87,379
,757.84
78,666
,351.93
27,640
,238.06
25,723
,803.51
76,360
,842.96
24,931
,235.19
43,265
,346.43
42,408
,238.18
11,729
,774.20
12,506
,407.20
Invento
ries
44,941
,046.11
42,907
,749.67
40,335
,213.46
23,124
,139.76
20,234
,898.12
Gross
profit /
(loss) b
efore ta
x, finan
cial and
invest
ment re
sults a
nd dep
reciatio
n
24,467
,815.44
22,885
,474.99
5,961,6
87.32
6,877,3
58.86
22,366
,755.81
6,638,0
66.68
11,110
,443.61
11,224
,837.47
1,327,4
44.79
3,028,0
85.32
Trade
receiva
bles
70,316
,140.05
77,177
,358.61
74,045
,276.54
45,317
,748.31
43,950
,732.03
Gross
profit /
(loss) b
efore ta
x, finan
cial and
invest
ment re
sults
21,731
,879.03
20,169
,018.49
4,977,8
26.46
5,993,6
45.59
19,680
,871.01
5,766,7
48.56
9,467,0
96.37
9,457,9
99.99
777,29
9.13
2,440,3
60.72
Other a
ssets
74,243
,815.89
69,892
,852.70
68,964
,753.08
88,004
,994.75
86,558
,842.26
Gross
profit /
(loss) b
efore ta
x
Tax inc
20,624
,970.66
46.17
20,534
,047.33
144.37
4,177,9
28.86
60.26
5,090,4
43.55
6.78
20,135
,284.53
86.72
4,898,0
21.81
9,485,8
92.72
36.15
,563.96
10,298
-25,908
.61
1,538,1
45.41
ASSE
TS
TOTAL
229,99
2,337.0
1 2
32,588
,639.01
225,74
3,792.8
9 1
91,749
,804.69
187,71
9,305.6
9
ome
Deferre
d tax
5,474,0
109,20
1.33
4,879,
156,65
5.05
1,073,5
36,413
.78
852,39
21,870
.33
4,797,6
147,88
9.98
809,65
7.72
21,870
.33
1,865,2
109,17
4.71
2,061,9
68.86
129,63
9.39
-19,748
.83
36,397
.69
198,13
1.80
33,971
.33
LIABIL
ITIES &
SHAR
EHOLD
ERS' F
UNDS
Profit /
(loss) a
fter tax
15,041
,723.16
15,498
,247.91
3,067,9
54.82
4,216,
176.44
15,189
,707.83
4,066,4
93.76
7,511,4
81.86
8,106,9
55.71
-42,55
7.47
1,306,0
42.28
Long te
rm liab
ilities
87,430
,661.67
97,479
,332.61
96,004
,372.90
85,448
,794.72
94,030
,498.02
Allocat
ed to :
Short t
erm lia
bilities
to bank
s
Other s
hort ter
m liabil
ities
3,309,2
59.50
51,938
,880.18
3,500,0
00.00
51,205
,346.63
1,750,0
00.00
49,681
,986.71
0.00
52,353
,014.69
0.00
40,619
,428.63
Compa
ny's sh
arehold
ers
Interes
t's shar
eholde
16,101
,438.43
-1,059
,715.27
15,415
,652.15
82,595
.76
3,493,2
01.97
-425,24
7.15
4,277,
155.14
-60,97
8.70
15,415
,652.15
-225,94
4.32
4,277,
155.14
-210,6
61.38
7,511,4
81.86
8,106,9
55.71
-42,55
7.47
1,306,0
42.28
rs
After ta
x earni
r share
(in Eu
ro)
ngs pe
0.42 0.40 0.09 0.11 0.40 0.11 -
0.20
-
0.21
-
0.00
-
0.03
TOTAL
LIABI
LITIES
142,67
8,801.3
5
152,18
4,679.2
4
147,43
6,359.6
1 1
37,801
,809.41
134,64
9,926.6
5
Shareh
olders'
equity
58,746
,287.60
57,220
,410.00
57,220
,410.00
58,746
,287.60
57,220
,410.00
DATA
FROM
CASH
FLOW
STATE
MENT
Other d
ata of s
hareho
lders n
et equi
ty
TOTAL
EQUIT
Y OF S
HAREH
OLDER
S
28,670
,284.66
87,416
,572.26
20,198
,537.09
77,418
,947.09
20,198
,537.09
77,418
,947.09
-4,798
,292.32
53,947
,995.28
-4,151
,030.96
53,069
(Amou
nts are
sed in
Euro)
expres
THE G
01/01-3
0/09/20
07
ROUP
01-30/0
THE C
01/01-3
0/09/20
OMPA
NY
/01-30/
09/200
Minori
ty inte
rests
-103,03
6.60
2,985,0
12.68
888,48
6.19
0.00 ,379.04
0.00
CASH
FLOWS
FROM
OPER
ATING
ACTIV
ITIES
01/
9/2006
07 01 6
TOTAL
EQUIT
Y
TOTAL
LIABI
LITIES
& SHA
REHOL
DERS'
EQUIT
Y
87,313
,535.66
229,99
2,337.0
80,403
,959.77
1 2
32,588
,639.01
78,307
,433.28
225,74
3,792.8
53,947
,995.28
9 1
91,749
,804.69
53,069
,379.04
187,71
9,305.6
9
Profits
before
taxes
Plus / m
inus ad
justme
nts for
:
20,624
,970.66
20,534
,047.33
9,485,8
92.72
10,298
,563.96
Deprec
iation o
f fixed
assets
2,735,9
36.41
2,716,4
56.50
1,643,3
47.24
1,766,8
37.48
DATA
FROM
THE S
TATEM
ENT O
F CHA
NGES
IN EQU
ITY FO
R THE
PERIO
D
Provisi
ons
Foreign
excha
nge dif
ference
s
0.00
-56,62
9.00
0.00
-611,4
07.43
0.00
-443,5
16.45
0.00
-464,84
1.27
(Amou
nts are
sed in
Euro)
expres
THE G
ROUP
THE C OMPA
NY
Income
from in
vestme
nt activ
ities
-10,21
8,259.5
1
-10,424
,690.86
-3,440
,681.91
-4,416
,763.32
01/01-
30/09/
2007
01/01-
30/09/
2006
01/01-
30/09/
2007 0
1/01-3
0/09/2
006
Interes
t and o
ther re
lated e
xpense
s
Credit
interes
3,718,7
07.00
3,077,3
18.65
3,635,6
63.02
2,950,0
80.09
Total e
quity, b
eginnin
g of the
period
(01/01
/2007 a
nd 01/0
1/2006
ts
tively)
respec
Profit /
fter tax
for the
80,403
,959.77
15,041
,723.16
62,778
,049.04
15,498
,247.91
53,069
,379.04
7,511,4
81.86
49,140
,870.23
8,106,9
Long te
ings
rm earn
(loss) a
period
55.71 Plus/m
inus ad
justme
nts for
change
s in wo
rking ca
pital ac
counts
unts
or acco
Ιncreas
e / (dec
rease)
of shar
e capit
al
95,445
,682.93
0.00
78,276
,296.95
1,228,5
00.00
60,580
,860.90
57,247
,825.94
related
to ope
rating a
ctivities
:
Decrea
se / (in
) in inv
entorie
crease
s
-4,605
,832.65
-5,836
,794.89
-2,889
,241.64
-5,352
,019.58
Dividen
ds paid
-4,959,
102.20
-4,959
,102.20
-4,959
,102.20
-4,959
,102.20
se / (in
) in rec
Decrea
eivable
crease
s
9,627,8
49.08
-3,097
,763.01
-598,14
9.33
-6,360
,317.01
Purcha
se of o
wn sha
res
Net inc
ome tra
nsferre
d direc
tly to e
quity
0.00
-1,076
,518.58
0.00
-4,036
,876.29
0.00
-1,673
,763.42
0.00
-2,725
,578.72
(Decre
ase) / i
e in liab
ilities (o
ther tha
n to ba
nks)
ncreas
Less :
3,063,7
38.43
5,718,6
40.94
12,281
,844.31
6,408,0
11.71
Consol
idation
's meth
od influ
ence d
ue to c
hange
-2,096
,526.49
0.00 0.00 0.00 Interes
t and o
ther re
lated e
s, paid
xpense
-3,131
,575.61
-2,906
,126.96
-3,048
,531.63
-2,778
,888.40
Net eq
uity, en
d of th
e perio
d (31/0
9/2007
and 3
1/09/20
06 esp
ectivel
y)
87,313
,535.66
70,508
,818.46
53,947
,995.28
49,563
,145.02
Tax Pa
id
-3,927,
338.61
-4,503,
412.90
-2,357,
155.34
-3,255
,000.90
Total in
flows /
(outflow
s) from
operat
ing act
ivities (
a)
17,831
,566.20
4,666,2
67.37
14,269
,470.99
-1,204,
337.24
ADDIT
IONAL
INFOR
MATIO
N
CASH
FLOWS
FROM
INVES
TMENT
ACTIV
ITIES
1. Una
udited
tax yea
r for the
ny GR.
SARA
NTIS A
.B.E.E.
is 200
6.
compa
Receip
ts of se
curities
sales
Acquis
ition of
subsid
iaries, a
ssociat
es, join
t ventu
res and
other i
nvestm
ents
5,001,7
54.91
3,905,6
09.52
1,893,7
13.91
463,49
1.58
for the
The
unaud
ited tax
tioned
in the a
ppenda
years
group a
re men
ge.
ition of
Acquis
tangibl
e and i
ntangib
le asse
ts
-2,015
,432.78
-1,023
,107.46
-965,5
37.51
-577,3
72.74
2. No f
ixed ch
arges h
ave be
en regi
stered
on the
propert
y of the
compa
ny.
Revenu
es from
sale o
f tangib
le and
intangi
ble ass
ets
Interes
t receiv
ed
1,078,0
70.60
411,31
9.54
16,289
.81
45,919
.97
1,012,5
66.01
16,779
.59
11,880
.34
9,042.0
4
es of G
R. SAR
ANTIS
A.B.E
9Μ 200 Dividen
ds rece
ived
1,569,4
63.24
1,894,5
95.01
1,558,9
80.24
1,894,5
95.01
3. The
intraco
transa
ctions a
nd the
intraco
balanc
mpany
mpany
.E. duri
ng the
7 are: Net infl
ows / (
outflow
s) from
invest
ment a
ctivities
(b)
6,045,1
75.51
4,839,3
06.85
3,516,5
02.24
1,801,6
36.23
DISCL
OSER
S AND
S TAB
RELA
TED P
ARTIE
LE
CASH
FLOWS
FROM
FINAN
CIAL A
CTIVIT
IES
THE G
ROUP
THE C
OMPA
NY
a) Sal
es of g
oods a
nd ser
vices
17,03
5,541
738,8
57
ds from
Procee
share
capital
increas
e
0.00 1,228,5
00.00
b) Pur
chase
s of go
ods an
d serv
ices
c) Rec
eivabl
es
17,03
5,541
33,34
7,898
14,06
8,840
9,951
,383
Procee
ds from
loans
granted
/ assu
med
Loan p
ts
1,559,2
59.50
-8,500,
000.00
6,400,0
00.00
-5,022
,207.80
0.00
-8,500
,000.00
3,900,0
00.00
0.00
d) Pay
ables
33,34
7,898
20,114
,797
aymen
Payme
nt of ow
n share
s purch
ase
0.00 0.00 0.00 0.00
e) Boa
rd mem
bers a
nd key
t perso
nnel re
ation
mana
gemen
muner
625,82
6
625,82
5,50
Dividen
ds paid
-4,935,
567.13
-4,955,
153.30
-4,935,
567.13
-4,955,
153.30
f) Amo
unts fr
om bo
ard me
mbers
and k
ent pe
l
ey ma
nagem
rsonne
g) Am
ounts
due to
board
memb
d key
ement
ers an
manag
perso
nn
0
0
0
0
Net infl
ows / (
outflow
s) from
financ
ial activ
ities (c)
-11,876
,307.63
-2,348
,861.10
-13,43
5,567.1
3
-1,055
,153.30
4. The
numb
er of th
loyees
in the
and th
pany i
e emp
group
e com
s:
THE G
ROUP
THE C
OMPA
NY
Net inc
rease /
decrea
se in ca
sh and
cash e
quivale
nts for
the per
iod (a)+
(b)+(c)
12,000
,434.08
7,156,7
13.12
4,350,4
06.10
-457,85
4.31
01/01-
30/09/
2007
01/01-
30/09/
2006
01/01-
30/09/
2007 0
1/01-3
0/09/2
006
Cash a
nd cas
h equiv
alents,
beginn
ing of t
he peri
od
Cash a
nd cas
h equiv
alents,
end of
the per
iod
14,264
,427.66
26,264
,861.74
9,899,5
95.56
17,056
,308.68
4,481,4
68.38
8,831,8
74.48
4,635,4
56.79
4,177,6
02.48
Salarie
d empl
oyees
1,140 1,150 539 550
Wage e
mploye
es
345 355 82 125
Total e
mploye
es
1,485 1,505 621 675
THE G
ROUP
THE C OMPA
NY
in fixed
the 1st
ter of 20
07
5. Inve
stment
assets
made in
semes
2,015,
432.78
965,53 7.51
6. The
Financ
ial Stat
ements
of the
osted i
n the
ny have
been p
compa
interne
t addre
is.gr an
d in the
registe
r maint
ained b
y the
.sarant
ss www
Ministry
of Dev
elopme
nt, Dep
t. of An
us Com
panies
and Cr
edit
onymo
under n
umber
13083/
06/Β/86
/27. Th
e reade
r who s
eeks to
acquir
e a full
unders
tanding
of the
financia
l positio
n and t
he resu
lts of th
e comp
any
GR SA
RANTI
S A B E
E h
ld
l h F
i i
l S
f h
7. The
change
in the
consoli
dation
method
of the
ny K.TH
EODO
compa
RIDIS S
A is ba
sed on
an MO
U betw
een K.T
HEODO
RIDIS f
amily a
nd SAR
ANTIS
Group
Marous
i, 12/11
/2007
THE M
ANAGE
R OF T
HE
THE P
RESID
ENT O
F THE
BOARD
OF DI
RECTO
RS
THE V
ICE PR
ESIDE
NT & M
ANAG
ING DI
RECTO
R
GRIGO
RIS P.
SARAN
TIS
KIRIAK
OS P.
SARAN
TIS
THE F
INANC
IAL DIR
ECTOR
KONST
ANTIN
OS P.
ROZAK
EAS
ACCO
UNTIN
VASSI
LIOS D
G DPT
. MEIN
TANIS
I.D.No
. Χ 080
619/03
I.D.No.
Ρ 539
590/95 I.D.No. Ρ 5344
98/94
I.D.No.
ΑΒ 656
347/06

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