Interim / Quarterly Report • Sep 29, 2023
Interim / Quarterly Report
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| 12 months ended |
6 months ended | ||||
|---|---|---|---|---|---|
| 31 December | 30 June | ||||
| 2022 | 2023 | 2022 | |||
| € | € | € | |||
| 228.270 | INCOME | 200.435 | 117.788 | ||
| (224.122) | Cost of sales | (182.127) | (118.482) | ||
| 4.148 | GROSS PROFIT | 18.308 | (694) | ||
| 10.000 | Other income | 5.000 | 5.000 | ||
| (38.534) | Impairment losses and other provisions | - | - | ||
| (1.020) | Sales and promotion expenses | - | - | ||
| (285.303) | Administrative expenses | (152.855) | (142.469) | ||
| (310.709) | LOSS FROM OPERATIONS |
(129.547) | (138.163) | ||
| (107.583) | Net finance costs | (100.604) | (45.752) | ||
| (481.641) | Share of loss in associated company |
(13.212) | (480.917) | ||
| (899.933) | LOSS BEFORE TAXATION | (243.363) | (664.832) | ||
| - | Taxation | - | - | ||
| (899.933) | NET LOSS FOR THE PERIOD |
(243.363) | (664.832) | ||
| - | Other comprehensive income | - | - | ||
| (899.933) | TOTAL NET LOSS FOR THE PERIOD | (243.363) | (664.832) | ||
| Net loss attributable to: | |||||
| (892.009) | Shareholder interest | (240.818) | (662.623) | ||
| (7.924) | Minority interest | (2.545) | (2.209) | ||
| (899.933) | (243.363) | (664.832) | |||
| (18.56) | Loss per share (cents) | (5.01) | (13.79) |
| 30 June 2023 |
31 Dec 2022 | |
|---|---|---|
| € | € | |
| ASSETS | ||
| NON-CURRENT ASSETS | ||
| Intangible fixed assets | 92.723 | 97.643 |
| Investment in associated company | 11.026.267 | 11.039.479 |
| Total non-current assets | ||
| 11.118.990 | 11.137.122 | |
| CURRENT ASSETS | ||
| Stocks | 868.000 | 868.000 |
| Trade and other receivables |
23.682 | 21.219 |
| Receivables from affiliated companies | 721.160 | 721.160 |
| Cash and cash equivalents | - | 3.333 |
| Total current assets | 1.612.842 | 1.613.712 |
| TOTAL ASSETS | 12.731.832 | 12.750.834 |
| NET POSITION AND LIABILITIES | ||
| EQUITY | ||
| Share capital | 4.084.128 | 4.084.128 |
| Share premium reserve | 293.239 | 293.239 |
| Reserve from conversion of share capital into euro | 20.664 | 20.664 |
| Accumulated profits | 3.575.564 | 3.816.382 |
| 7.973.595 | 8.214.413 | |
| Minority interest | 36.055 | 38.600 |
| Total Equity | 8.009.650 | 8.253.013 |
| NON-CURRENT LIABILITIES | ||
| Borrowings | 2.568.806 | 2.015.000 |
| Total non-current liabilities | 2.568.806 | 2.015.000 |
| Current liabilities | ||
| Borrowings and bank overdrafts | 851.883 | 1.174.236 |
| Trade and other creditors | 77.464 | 92.924 |
| Provisions | 1.224.029 | 1.215.661 |
| Total current liabilities | 2.153.376 | 2.482.821 |
| Total Liabilities | 4.722.182 | 4.497.821 |
| Total Equity and Liabilities | 12.731.832 | 12.750.834 |
| Net assets per share – cents |
1.66 | 1.71 |
| Attributable to the Company's shareholders | |||||||
|---|---|---|---|---|---|---|---|
| Share Capital |
Share premium reserve |
Reserve from the conversion of share capital |
Accumulated profits |
Total | Minority interest |
Total equity |
|
| € | € | € | € | € | € | € | |
| Balance as at 1 January 2022 | 4.084.128 | 293.239 | 20.664 | 4.708.391 | 9.106.422 | 46.524 | 9.152.946 |
| Net loss for the year after taxation | - | - | - | (892.009) | (892.009) | (7.924) | (899.933) |
| Balance as at 31 December 2022 / 1 January 2023 |
4.084.128 | 293.239 | 20.664 | 3.816.382 | 8.214.413 | 38.600 | 8.253.013 |
| Net Loss for the period after taxation | (240.818) | (240.818) | (2.545) | (243.363) | |||
| Balance as at 30 June 2023 | 4.084.128 | 293.239 | 20.664 | 3.575.564 | 7.973.595 | 36.055 | 8.009.650 |
| Six months | Six months | |
|---|---|---|
| ended | ended | |
| 30 June 2023 | 30 June 2022 | |
| Cash flow from operating activities | ||
| Loss before taxation | (243.363) | (664.832) |
| Adjustments for: | ||
| Charge in the results for provisions | ||
| Debit interest | 100.604 | 45.752 |
| Depreciation of intangible fixed assets | 5.794 | 7.104 |
| Share of profit / (loss) in associated company |
13.212 | 480.917 |
| Net cash flow before changes in working capital | (123.753) | (131.059) |
| Changes in working capital | ||
| Increase in trade and other receivables | (2.463) | (9.460) |
| Decrease in trade and other creditors |
(15.460) | (14.108) |
| Cash used for operating activities |
(141.676) | (154.627) |
| Tax paid | - | - |
| Net cash for operating activities |
(141.676) | (154.627) |
| Cash flow from investing activities | ||
| Purchase of intangible fixed assets | (874) | (2.111) |
| Net cash for investing activities | (874) | (2.111) |
| Cash flow from financing activities |
||
| Proceeds from borrowings from shareholders | 500.000 | 300.000 |
| Interest paid | (38.263) | (25.262) |
| Net cash for financing activities |
461.737 | 274.738 |
| Net increase in cash and cash equivalents and bank overdrafts | 319.187 | 118.000 |
| Cash and cash equivalents at beginning of year | (1.159.842) | (1.094.169) |
| Bank overdrafts at end of period | (840.655) | (976.169) |
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