Interim / Quarterly Report • Sep 27, 2023
Interim / Quarterly Report
Open in ViewerOpens in native device viewer
| 30/06/2023 | 30/06/2022 | |
|---|---|---|
| €'000 | €'000 | |
| Income | 40.284 | 32.478 |
| Operating expenses | (20.265) | (16.504) |
| Cost of personnel | (16.637) | (14.637) |
| Administrative and other expenses | (980) | (884) |
| (37.882) | (32.025) | |
| Operating profit before interest, taxes, depreciation and amortisation |
2.402 | 453 |
| Depreciation, amortisation and write-offs | (2.670) | (2.512) |
| Depreciation of assets with right of use |
(5.718) | (5.737) |
| Other amortisation | 4 | 4 |
| Loss from operations | (5.982) | (7.792) |
| Finance income | 181 | 197 |
| Finance costs | (9.179) | (7.571) |
| Net finance costs | (8.998) | (7.374) |
| Loss from operations after net finance costs | (14.980) | (15.166) |
| Gain on disposal of property, plant and equipment | - | 3 |
| Other net profits | - | 3 |
| Loss before taxation | (14.980) | (15.163) |
| Taxation | 180 | 907 |
| Loss for the period | (14.800) | (14.256) |
| Loss for the period attributable to: | ||
| Company shareholders |
(14.783) | (14.239) |
| Minority interest | (17) | (17) |
| Loss for the period | (14.800) | (14.256) |
| Loss per share | ||
| Basic and fully diluted loss earnings per share (€ cents) |
(3.21) | (3.09) |
| 30/06/2023 €'000 |
30/06/2022 €'000 |
|
|---|---|---|
| Loss for the period | (14.800) | (14.256) |
| Other comprehensive income | ||
| Sums not to be reclassified to the consolidated statement of profit and loss account |
||
| Deferred taxation from revaluation of land and buildings | 16 | 71 |
| 16 | 71 | |
| Other comprehensive income for the period |
16 | 71 |
| Comprehensive expenses for the period | (14.784) | (14.185) |
| Comprehensive expenses for the period attributable to: | ||
| Company shareholders | (14.767) | (14.168) |
| Minority interest | (17) | (17) |
| Comprehensive expenses for the period | (14.784) | (14.185) |
as at 30 June 2023
| Unaudited | Audited | |
|---|---|---|
| 30/06/2023 | 31/12/2022 | |
| €'000 | €'000 | |
| Assets | ||
| Property, plant and equipment | 105.065 | 98.414 |
| Assets with right of use | 175.811 | 180.748 |
| Intangible assets | 106 | 145 |
| Investments in net position companies | 12 | 12 |
| Amounts due from affiliated parties | 1.198 | 1.205 |
| Deferred taxation | 1.518 | 1.450 |
| Non-current assets | 283.710 | 281.974 |
| Inventories | 2.657 | 1.103 |
| Trade and other receivables | 17.711 | 8.183 |
| Amounts due from affiliated parties | 4.743 | 4.869 |
| Blocked bank deposits | 9.499 | 9.472 |
| Cash and cash equivalents | 16.091 | 13.200 |
| Current assets | 50.701 | 36.827 |
| Total assets | 334.411 | 318.801 |
| Equity | ||
| Share capital | 9.211 | 9.211 |
| Reserves | (22.088) | (18.321) |
| Equity attributable to Company owners | (23.877) | (9.110) |
| Minority interest | (43) | (26) |
| Total equity | (23.920) | (9.136) |
| Liabilities | ||
| Borrowings | 106.812 | 103.152 |
| Lease liabilities | 187.513 | 186.057 |
| Other liabilities | 264 | 289 |
| Deferred income | 617 | 621 |
| Deferred taxation | 9.283 | 9.411 |
| Non-current liabilities | 304.489 | 299.530 |
| Borrowings | 6.147 | 6.089 |
| Lease liabilities | 5.948 | 5.661 |
| Trade and other liabilities | 23.902 | 14.649 |
| Amounts due to affiliated parties | 412 | 278 |
| Deferred income | 8 | 8 |
| Contractual obligations | 17.208 | 1.507 |
| Taxation due | 217 | 215 |
| Current liabilities | 53.842 | 28.407 |
| Total liabilities | 358.331 | 327.937 |
| Total equity and liabilities | 334.411 | 318.801 |
| 30/06/2023 | 30/06/2022 | |
|---|---|---|
| €'000 | €'000 | |
| Cash flow from operations | ||
| Loss for the period | (14.800) | (14.256) |
| Adjustments | 16.983 | 14.498 |
| Cash flow for operations before changes in working capital | 2.183 | 242 |
| Changes in working capital: | ||
| Changes in working capital | 14.114 | 11.801 |
| Cash flow from operations |
16.297 | 12.043 |
| Tax refunded | 3 | 11 |
| Net cash from operations | 16.300 | 12.054 |
| Cash flow from investing activities | ||
| Payment for the purchase of property, plant, equipment and intangible assets |
(9.282) | (4.381) |
| Proceeds from disposal of property, plant and equipment | - | 5 |
| Net cash for investing activities | (9.282) | (4.376) |
| Cash flow from financing activities | ||
| Loan repayments | (477) | (320) |
| Proceeds from new loans | 4.305 | 1.720 |
| (Blocking) / release of bank deposits | (27) | 38 |
| Interest paid | (7.928) | (6.121) |
| Payment of dividends | - | (3.429) |
| Net cash for financing activities | (4.127) | (8.112) |
| Net increase/(decrease) in cash and cash equivalents |
2.891 | (434) |
| Cash and cash equivalents at beginning of period | 13.200 | 13.876 |
| Cash and cash equivalents at end of period | 16.091 | 13.442 |
| Cash and cash equivalents consist in: | ||
| Cash in hand and at bank | 16.091 | 13.442 |
| 16.091 | 13.442 |
Equity attributable to Company owners
| Share Capital €'000 |
Property revaluation reserve €'000 |
Staff benefits reserve €000 |
Other reserves €000 |
Difference from conversion of capital into Euro €'000 |
Annuity reserve €'000 |
Total €'000 |
Minority interest €'000 |
Total equity €'000 |
|
|---|---|---|---|---|---|---|---|---|---|
| Balance as at 1 January 2023 | 9.211 | 6.669 | 312 | 268 | 364 | (25.934) | (9.110) | (26) | (9.136) |
| Comprehensive income for the period Loss for the period |
- | - | - | - | - | (14.783) | (14.783) | (17) | (14.800) |
| Other comprehensive income | |||||||||
| Deferred taxation from revaluation of land and buildings Transfer of additional depreciation from |
- | 16 | - | - | - | - | 16 | - | 16 |
| revaluation | - | (81) | - | - | - | 81 | - | - | - |
| Other comprehensive income / (expenses) for the period |
- | (65) | - | - | - | 81 | 16 | - | 16 |
| Comprehensive expenses for the period |
- | (65) | - | - | - | (14.702) | (14.767) | (17) | (14.784) |
| Balance as at 30 June 2023 |
9.211 | 6.604 | 312 | 268 | 364 | (40.636) | (23.877) | (43) | (23.920) |
| Share Capital €'000 |
Property revaluation reserve €'000 |
Staff benefits reserve €000 |
Other reserves €000 |
Difference from conversion of capital into Euro €'000 |
Annuity reserve €'000 |
Total €'000 |
Minority interest €'000 |
Total equity €'000 |
|
|---|---|---|---|---|---|---|---|---|---|
| Balance as at 1 January 2022 | 9.211 | 6.646 | 279 | 268 | 364 | (15.131) | 1.637 | (18) | 1.619 |
| Comprehensive income for the period Loss for the period |
- | - | - | - | - | (14.239) | (14.239) | (17) | (14.256) |
| Other comprehensive income | |||||||||
| Deferred taxation from revaluation of land and buildings Transfer of additional depreciation from |
- | 71 | - | - | - | - | 71 | - | 71 |
| revaluation | - | (29) | - | - | - | 29 | - | - | - |
| Other comprehensive income for the period | - | 42 | - | - | - | 29 | 71 | - | 71 |
| Comprehensive income / (expenses) for the period |
- | 42 | - | - | - | (14.210) | (14.168) | (17) | (14.185) |
| Balance as at 30 June 2022 |
9.211 | 6.688 | 279 | 268 | 364 | (29.341) | (12.531) | (35) | (12.566) |
Building tools?
Free accounts include 100 API calls/year for testing.
Have a question? We'll get back to you promptly.