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Marel Interim / Quarterly Report 2020

Oct 20, 2020

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Income Statement

Consolidated Statement of Income Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4
NaN NaN NaN NaN NaN
NaN Q3 Q3 YTD YTD
In EUR million unless stated otherwise 2020 2019 2020 2019
NaN NaN NaN NaN NaN
Revenues 287.2 312.5 894.5 963.6
Cost of sales -174.7 -193 -560.5 -588.5
Gross profit 112.5 119.5 334 375.1
NaN NaN NaN NaN NaN
Selling and marketing expenses -32.8 -37.2 -109.4 -117.5
General and administrative expenses -21.4 -20.2 -64.1 -60.9
Research and development expenses -16.9 -20.5 -53.9 -63.3
Result from operations 41.4 41.6 106.6 133.4
NaN NaN NaN NaN NaN
Finance costs -3.2 -4.1 -13.7 -12.7
Finance income 0.00002 2.1 0.20003 4.4
Net finance costs -3.19998 -2.0 -13.49997 -8.3
NaN NaN NaN NaN NaN
Share of result of associates -0.0999 -0.00001 0.0001 -0.00001
NaN NaN NaN NaN NaN
Result before income tax 38.1 39.6 93.1 125.1
NaN NaN NaN NaN NaN
Income tax -8.7 -6.2 -19.6 -25.2
Net result 29.4 33.4 73.5 99.9
NaN NaN NaN NaN NaN
Of which: NaN NaN NaN NaN
- Net result attributable to Shareholders of the Company 29.4 33.3 73.4 99.8
- Net result attributable to non-controlling interests 0 0.1 0.1 0.1
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Earnings per share for result attributable to Shareholders of the Company during the period (expressed in EUR cent per share): NaN NaN NaN NaN
- basic 3.930863 4.382265 9.747059 14.194482
- diluted 3.898665 4.341749 9.680218 14.074374
NaN NaN NaN NaN NaN
NaN Q3 Q3 YTD YTD
In EUR million 2020 2019 2020 2019
NaN NaN NaN NaN NaN
Net result 29.4 33.4 73.5 99.9
NaN NaN NaN NaN NaN
Items that are or may be reclassified to profit or loss: NaN NaN NaN NaN
Currency translation differences -5.8 1 -18 2.4
Cash flow hedges -0.1001 0.1 -0.1001 0.8
Income tax relating to cash flow hedges 0.0001 -0.1 0.0001 -0.2
Other comprehensive income / (loss) for the period, net of tax -5.9 1 -18.1 3
Total comprehensive income for the period 23.5 34.4 55.4 102.9
NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Of which: NaN NaN NaN NaN
- Total comprehensive income attributable to Shareholders of the\n Company 23.5 34.3 55.3 102.8
- Total comprehensive income attributable to non-controlling interests 0 0.1 0.1 0.1

Balance Sheet

Consolidated Statement of Financial Position Unnamed: 1 Unnamed: 2
NaN NaN NaN
NaN 30/09 31/12
In EUR million 2020 2019
NaN NaN NaN
ASSETS NaN NaN
Property, plant and equipment 180.5 181.4
Right of use assets 38.6 36.4
Goodwill 642.3 645.8
Intangible assets 245.4 252.4
Investments in associates 17.3 15.6
Other receivables 2.5 2.1
Deferred income tax assets 11.8 11.9
Non-current assets 1138.4 1145.6
NaN NaN NaN
Inventories 180.6 166.8
Contract assets 50.6 38.3
Trade receivables 111.7 160
Other receivables and prepayments 53 46.8
Cash and cash equivalents 76.9 303.7
Current assets 472.8 715.6
NaN NaN NaN
TOTAL ASSETS 1611.2 1861.2
NaN NaN NaN
EQUITY AND LIABILITIES NaN NaN
Share capital 6.7 6.8
Share premium reserve 431.6 483.1
Other reserves -29 -10.9
Retained earnings 506.4 476.5
Shareholders' equity 915.7 955.5
Non-controlling interests 0.3 0.3
Total equity 916 955.8
NaN NaN NaN
LIABILITIES NaN NaN
Borrowings 138.1 333.5
Lease liabilities 30.7 28.4
Deferred income tax liabilities 56.8 55.5
Provisions 11.8 10.6
Other payables 1.4 5.1
Derivative financial instruments 4.4 3
Non-current liabilities 243.2 436.1
NaN NaN NaN
Contract liabilities 221.9 217.5
Trade and other payables 208.1 200.5
Current income tax liabilities 4.9 3.7
Borrowings 0 30.6
Lease liabilities 8.8 8.8
Provisions 8.3 8.2
Current liabilities 452 469.3
NaN NaN NaN
Total liabilities 695.2 905.4
NaN NaN NaN
TOTAL EQUITY AND LIABILITIES 1611.2 1861.2

Cash Flow

Consolidated Statement of Cash Flows Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4
NaN NaN NaN NaN NaN
NaN Q3 Q3 YTD YTD
In EUR million 2020 2019 2020 2019
Cash Flow from operating activities NaN NaN NaN NaN
Result from operations 41.4 41.6 106.6 133.4
NaN NaN NaN NaN NaN
Adjustments to reconcile result from operations to net cash provided by / (used in) operating activities: NaN NaN NaN NaN
NaN NaN NaN NaN NaN
Depreciation of property, plant and equipment and right of use assets 6.3 6.5 19.4 18.3
Amortization and impairment of intangible assets 8 8.3 24.2 24.9
Equity-settled share-based payment transactions 0.8 0.7 1.7 1.8
Changes in non-current receivables and payables -0.0401 0 -0.0001 0.1
Working capital provided by / (used in) operating activities 56.5 57.1 151.8999 178.5
NaN NaN NaN NaN NaN
Changes in working capital: NaN NaN NaN NaN
Inventories and contract assets and liabilities -6 -14.3 -22.9 -46.8
Trade and other receivables 13.3 9 39.3 -3.8
Trade and other payables -8.8 -4.5 8.8 0.4
Provisions -0.9 0.4 1.6 1.3
Changes in operating assets and liabilities -2.4 -9.4 26.8 -48.9
NaN NaN NaN NaN NaN
Cash generated from operating activities 54.0599 47.7 178.6999 129.6
NaN NaN NaN NaN NaN
Taxes paid -2.3 -11.5 -22.6 -32.3
Interest and finance income 0.0 0.8 0.3 2.4
Interest and finance costs -2.0 -2.4 -9.2 -10.6
Net cash from operating activities 49.7599 34.6 147.1999 89.1
NaN NaN NaN NaN NaN
Cash Flow from investing activities NaN NaN NaN NaN
Purchase of property, plant and equipment -8.7 -3.9 -15.9 -13.1
Investments in intangibles -6.5 -3.9 -18.7 -14.3
Proceeds from sale of property, plant and equipment 0 0.6 1.3 1.4
Loans to associates 0 0 -1 0
Investments in associates 0 0 -1.7 -1.8
Net cash provided by / (used in) investing activities -15.2 -7.2 -36.0 -27.8
NaN NaN NaN NaN NaN
Cash Flow from financing activities NaN NaN NaN NaN
New shares issued 0 0 0 370
Transaction costs 0 -9.6 0 -18.2
Purchase of treasury shares 0 0 -55.9 -37.6
Sale of treasury shares 0 0 3.3 0.2
Proceeds from borrowings 0 0 600 40
Repayments of borrowings -100 -0.5 -825.7 -129.8
Payments of lease liabilities -2.3 -1.8 -8 -14.5
Dividends paid -5.8 0 -44 -36.7
Net cash provided by / (used in) financing activities -108.1 -11.9 -330.3 173.4
NaN NaN NaN NaN NaN
Net increase / (decrease) in net cash -73.5 15.5 -219.1 234.7
NaN NaN NaN NaN NaN
Exchange gain / (loss) on net cash -3 2.4 -7.7 3.6
Net cash at beginning of the period 153.4 276.7 303.7 56.3
Net cash at end of the period 76.9 294.6 76.9 294.6

Quarterly Results

Quarterly results Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6
NaN NaN NaN NaN NaN NaN NaN
NaN NaN 2020 2020 2020 2019 2019
NaN NaN Q3 Q2 Q1 Q4 Q3
Revenue NaN 287.2 305.7 301.6 320.1 312.5
Cost of sales NaN -174.7 -191.5 -194.3 -204.1 -193
Gross profit NaN 112.5 114.2 107.3 116 119.5
NaN NaN NaN NaN NaN NaN NaN
Selling and marketing expenses NaN -32.8 -34.5 -42.1 -41.7 -37.2
General and administrative expenses NaN -21.4 -18.7 -24 -22.5 -20.2
Research and development expenses NaN -16.9 -18.6 -18.4 -22.6 -20.5
Result from operations (EBIT) NaN 41.4 42.4 22.8 29.2 41.6
NaN NaN NaN NaN NaN NaN NaN
Net finance costs NaN -3.2 -5.2999 -5 -12.4 -2
Share of result of associates NaN -0.1 0.09 0.0001 -0.1 -0.00001
Result before income tax NaN 38.1 37.2 17.8 16.7 39.6
NaN NaN NaN NaN NaN NaN NaN
Income tax NaN -8.7 -6.5 -4.4 -6.5 -6.2
Net result for the period NaN 29.4 30.7 13.4 10.2 33.4
NaN NaN NaN NaN NaN NaN NaN
Result before depreciation & amortization (EBITDA) NaN 55.7 56.9 37.6 43.7 56.4
NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN
Quarterly adjusted result from operations NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN
NaN NaN 2020 2020 2020 2019 2019
NaN NaN Q3 Q2 Q1 Q4 Q3
Revenue NaN 287.2 305.7 301.6 320.1 312.5
Cost of sales NaN -174.7 -191.5 -194.3 -204.1 -193
Gross profit NaN 112.5 114.2 107.3 116 119.5
NaN NaN NaN NaN NaN NaN NaN
Selling and marketing expenses NaN -31.1 -32.8 -40.5 -40.1 -35.5
General and administrative expenses NaN -21.3 -18.6 -23.9 -22.4 -20.1
Research and development expenses NaN -16 -17.8 -17.5 -21.5 -19.6
Adjusted result from operations*) NaN 44.1 45 25.4 32 44.3
NaN NaN NaN NaN NaN NaN NaN
PPA related costs NaN -2.7 -2.6 -2.6 -2.8 -2.7
Result from operations (EBIT) NaN 41.4 42.4 22.8 29.2 41.6
*) Operating income adjusted for PPA costs related to acquisitions, including depreciation and amortization. NaN NaN NaN NaN NaN NaN