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NET Info Plc

Annual Report Apr 30, 2025

2484_10-k_2025-04-30_65e3c06d-3fa9-4668-a3ee-0c30d7c2cbea.pdf

Annual Report

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CONSOLIDATED STATEMENT OF FINANCIAL POSITION as at 31 December 2024

2024 2023
Assets
Property, plant and equipment 3.836.743 3.829.978
Intangible assets 3.763.300 3.682.866
Conventional assets 302.300 -
Total non-current assets 7.902.343 7.512.844
Conventional assets 588.363 371.411
Trade and other receivables 1.431.322 1.554.417
Cash and cash equivalents 209.792 98.080
Assets classified as held for sale 432.721 411.791
Total current assets 2.662.198 2.435.699
Total assets 10.564.541 9.948.543
Equity
Share capital 2.820.547 2.820.547
Share premium reserve 1.282.911 1.282.911
Reserves 1.109.587 359.210
Total equity 5.213.045 4.462.668
Liabilities
Loans and financing 1.542.693 1.820.630
Deferred tax liabilities 167.450 172.256
Deferred income 42.578 47.309
Total non-current liabilities 1.752.721 2.040.195
Bank overdrafts 1.194.497 1.207.976
Current portion of long-term loans 356.348 354.450
Trade and other liabilities 1.960.898 1.827.427
Deferred income 4.731 4.731
Tax liabilities 32.540 22.440
Liabilities classified as held for sale 49.761 28.656
Total current liabilities 3.598.775 3.445.680
Total liabilities 5.351.496 5.485.875
Total equity and liabilities 10.564.541 9.948.543

CONSOLIDATED STATEMENT OF PROFIT AND LOSS AND OTHER COMPREHENSIVE INCOME for the year ended 31 December 2024

2024 2023
Income 6.938.549 5.866.676
Cost of sales (3.260.811) (2.697.059)
Gross profit 3.677.738 3.169.617
Other operating income 31.932 80.458
Distribution and selling expenses (85.329) (97.915)
Administrative expenses (2.386.401 (2.220.450)
Impairment in trade receivables and conventional assets (48.540) (35.803)
Operating profit 1.189.400 895.907
Financing income -
total
5.473 511
Financing costs -
total
(186.646) (185.504)
Net financing costs (181.173) (184.993)
Profit
before taxation
1.008.227 710.914
Taxation (243.456) (164.905)
Profit for the year 764.771 546.009
Other comprehensive income
Amounts not to be reclassified in profit and loss in subsequent
periods:
Taxation in other comprehensive income 3.945 3.945
Amounts which will or may be reclassified in profit and loss in
subsequent periods:
Exchange difference created from the translation and
consolidation of the financial statements of companies abroad 3.439 (70.547)
Other comprehensive income/(expenses)
for the year
7.384 (66.602)
Comprehensive income
for the year
772.155 479.407
Basic profit
per share (cents)
5.97 4.26
Fully diluted
per share
(cents)
5.97 4.26

CONSOLIDATED STATEMENT OF CASH FLOWS for the year ended 31 December 2024

2024 2023
Cash flow from operations
Profit for the year 764.771 546.009
Adjustments for:
Depreciation of property, plant and equipment 237.778 198.569
Depreciation of computer programmes 1.511 463
Depreciation of research and development 306.365 381.973
Profit
from sale of property, plant and equipment
(5.963) (6.247)
Reverse depreciation in the value of conventional assets (3.863) -
Charge for depreciation in the value of trade receivables 52.403 35.803
Interest receivable (965) (511)
Interest payable 140.667 127.813
Taxation 243.456 164.905
Depreciation of deferred income (4.731) -
Cash from operations before changes in working capital 1.731.429 1.448.777
Decrease in trade and other receivables 70.867 61.864
(Increase)/decrease in conventional assets (515.389) 15.826
Increase/(decrease) in trade and other liabilities 136.910 (92.174)
Cash from operations 1.423.817 1.434.293
Tax paid (255.995) (210.581)
Net cash from operations 1.167.822 1.223.712
Cash flow from investing activities
Payments for acquisition of intangible assets (388.310) (571.252)
Payments for acquisition of property, plant and equipment (244.918) (81.723)
Proceeds from sale of property, plant and equipment 6.338 8.084
Interest received 965 511
Net cash for
investing activities
(625.925) (644.380)
Cash flow from financing activities
Repayment of loans (375.899) (367.332)
Proceeds from new loans 99.860 -
Interest paid (140.667) (127.813)
Net cash for financing activities (416.706) (495.145)
Net increase
in cash and cash equivalents
125.191 84.187
Cash and cash equivalents at beginning of year (1.109.896) (1.194.083)
Cash and cash equivalents at end of year (984.705) (1.109.896)

CONSOLIDATED STATEMENT OF CHANGES IN NET POSITION for the year ended 31 December 2024

Share
capital
Share
premium
reserve
Revaluation
reserve –
Land and
buildings
Foreign
currency
conversion
reserve
Annuity
reserve
Total
equity
Balance as at 1 January 2023 2.820.547 1.282.911 1.516.790 88.934 (1.725.921) 3.983.261
Comprehensive income
Profit for the year - - - - 546.009 546.009
Other comprehensive income for the year - - 3.945 (70.547) - (66.602)
Comprehensive income for the year - - 3.945 (70.547) 546.009 479.407
Balance as at 31 December 2023 2.820.547 1.282.911 1.520.735 18.387 (1.179.912) 4.462.668

CONSOLIDATED STATEMENT OF CHANGES IN NET POSITION (continued) for the year ended 31 December 2024

Share
capital
Share
premium
reserve
Revaluation
reserve –
Land and
buildings
Foreign
currency
conversion
reserve
Annuity
reserve
Total
equity
Balance as at 1 January 2024 2.820.547 1.282.911 1.520.735 18.387 (1.179.912) 4.462.668
Comprehensive income
Profit for the year - - - - 764.771 764.771
Other comprehensive income
Other comprehensive income for the year - - 3.945 3.439 - 7.384
Comprehensive income for the year - - 3.945 3.439 764.771 772.155
Transactions with owners
Special contribution for defence in
deemed distribution of dividend and
General Health System (GESY) - - - - (21.778) (21.778)
Balance as at 31 December 2024 2.820.547 1.282.911 1.524.680 21.826 (436.919) 5.213.045

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