Interim Report • Sep 16, 2025
Interim Report
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Interim Condensed Consolidated Financial Statements
For the period from 1 January 2025 to 30 June 2025
| 30 June 2025 Unaudited €000 |
30 June 2024 Unaudited €000 |
|
|---|---|---|
| Administrative expenses Other income |
(106) 10 ____ |
(70) 98 ____ |
| Operating (loss)/profit | (96) | 28 |
| Share of profit of investment in associate companies | 1.497 | 862 |
| Profit before tax | ____ 1.401 |
____ 890 |
| Tax | 14 | - |
| Profit for the period | _ 1.415 _ |
_ 890 _ |
| Other comprehensive income | ||
| Share of movement of reserves of associate companies | 3 | 9 |
| Total comprehensive income for the period | ____ 1.418 ========== |
____ 899 ========== |
| Profit per share attributable to the shareholders of the Company (cent per share): |
||
| - Basic and fully distributed | 1,10 ========== |
0,69 ========== |
| 30 June 2025 |
31 December 2024 |
|
|---|---|---|
| Unaudited €000 |
Audited €000 |
|
| Assets | ||
| Non-current assets | ||
| Investments in associate companies | 114.147 _____ |
112.647 _____ |
| 114.147 _____ |
112.647 _____ |
|
| Current assets | ||
| Inventories | 300 | 300 |
| Financial assets at amortised cost Cash and cash equivalents |
59 755 |
54 885 |
| _____ 1.114 |
_____ 1.239 |
|
| Total Assets | _____ 115.261 |
_____ 113.886 |
| Equity and liabilities | =========== | =========== |
| Capital and reserves Share Capital |
10.287 | 10.287 |
| Reserve of changes in equity of associates | 546 | 543 |
| Retained Earnings | 103.237 | 102.594 |
| Total Equity | _____ 114.070 |
_____ 113.424 |
| Current liabilities | _____ | _____ |
| Trade and other payables | 419 | 462 |
| Dividends payable | 772 _____ |
- _____ |
| 1.191 _____ |
462 _____ |
|
| Total Liabilities | 1.191 _____ |
462 _____ |
| Total Equity and Liabilities | 115.261 | 113.886 |
| =========== | =========== |
| Share capital €000 |
Share premium €000 |
Reserve arising on translation of share capital into Euros €000 |
Reserve of changes in equity of associates €000 |
Retained earnings €000 |
Total €000 |
|
|---|---|---|---|---|---|---|
| Six months until 30 June 2025 | ||||||
| Balance at 1 January 2025 | 10.287 ___ |
- ___ |
- ___ |
543 ____ |
102.594 ___ |
113.424 ___ |
| Profit for the period | - | - | - | - | 1.415 | 1.415 |
| Other comprehensive income Share of reserves of associate companies |
___ - |
___ - |
___ - |
____ 3 |
___ - |
___ 3 |
| Total other comprehensive income | ___ - |
___ - |
___ - |
____ 3 |
___ - |
___ 3 |
| Total comprehensive income for the period |
___ - |
___ - |
___ - |
____ 3 |
___ 1.415 |
___ 1.418 |
| Transactions with Company's owners Dividends declared from the profits of 2023 |
___ - |
___ - |
___ - |
____ - |
___ (772) |
___ (772) |
| ___ | ___ | ___ | ____ | ___ | ___ | |
| Total transactions with Company's owners |
- | - | - | - | (772) | (772) |
| Balance at 30 June 2025 (unaudited) |
___ 10.287 ========= |
___ - ========= |
___ - ========= |
____ 546 ========== |
___ 103.237 ========= |
___ 114.070 ========= |
| Six months until 30 June 2024 | ||||||
| Balance at 1 January 2024 | 21.860 ___ |
1.757 ___ |
86 ___ |
534 ____ |
101.976 ___ |
126.213 ___ |
| Profit for the period | - | - | - | - | 890 | 890 |
| Other comprehensive income Share of reserves of associate companies |
___ - |
___ - |
___ - |
____ 9 |
___ - |
___ 9 |
| Total other comprehensive income | ___ - |
___ - |
___ - |
____ 9 |
___ - |
___ 9 |
| Total comprehensive income for the period |
___ - |
___ - |
___ - |
____ 9 |
___ 890 |
___ 899 |
| Transactions with Company's owners Dividends declared from the profits of |
___ | ___ | ___ | ____ | ___ | ___ |
| 2022 Reduction of share capital and share premium |
- (11.573) |
- (1.757) |
- (86) |
- - |
(501) - |
(501) (13.416) |
| Total transactions with Company's owners |
___ (11.573) |
___ (1.757) |
___ (86) |
____ - |
___ (501) |
___ (13.917) |
| Balance at 30 June 2024 (unaudited) |
___ 10.287 ========= |
___ - ========= |
___ - ========= |
____ 543 ========== |
___ 102.365 ========= |
___ 113.195 ========= |
| 30 June 2025 Unaudited |
30 June 2024 Unaudited |
|
|---|---|---|
| Cash flows from operating activities | €000 | €000 |
| Cash used in operations | (132) | (48) |
| Net cash used in operating activities | _ (132) _ |
_ (48) _ |
| Cash flows from investing activities | ||
| Interest received Loans granted to related parties |
3 - |
- (5) |
| Net cash used from/(in) investing activities | _ 3 _ |
_ (5) _ |
| Cash flows from financing activities | ||
| Cash paid for capital reduction and share premium reserve | - | (2.173) |
| Net cash used in financing activities | ____ - |
____ (2.173) |
| Net decrease in cash and cash equivalents | ____ (129) |
____ (2.226) |
| Cash and cash equivalents at the beginning of the period | 885 | 2.456 |
| Cash and cash equivalents at the end of the period | ____ 755 ========== |
____ 230 ========== |
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