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Podravka d.d. Interim / Quarterly Report 2026

Apr 28, 2026

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General data

Annex 1 Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8 Unnamed: 9
ISSUER’S GENERAL DATA NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Reporting period: NaN NaN NaN 2026-01-01 00:00:00 NaN to 31.03.2026 NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN Year: NaN NaN 2026 NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN Quarter: NaN NaN 1 NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Quarterly financial statements NaN NaN NaN NaN NaN NaN NaN NaN NaN
Registration number (MB): NaN 03454088 NaN NaN Issuer’s home Member State code: NaN HR NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Entity’s registration number (MBS): NaN 010006549 NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Personal identification number (OIB): NaN 18928523252 NaN NaN NaN LEI: 549300TMC6BYESPQ7W85 NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN Institution code: 1627 NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Name of the issuer: NaN PODRAVKA prehrambena industrija d.d., KOPRIVNICA NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Postcode and town: NaN 48000 NaN NaN NaN KOPRIVNICA NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Street and house number: NaN ANTE STARČEVIĆA 32 NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
E-mail address: NaN [email protected] NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Web address: NaN www.podravka.com NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Number of employees \n(end of the reporting period): NaN 3335 NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Consolidated report: NaN KN (KN-not consolidated/KD-consolidated) NaN NaN NaN NaN KN KD
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Audited: NaN RN (RN-not audited/RD-audited) NaN NaN NaN NaN RN RD
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Names of subsidiaries (according to IFRS): NaN NaN NaN Registered office: NaN NaN NaN NaN MB:
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN Yes
NaN NaN NaN NaN NaN NaN NaN NaN NaN No
Bookkeeping firm: NaN No NaN (Yes/No) NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN (name of the bookkeeping firm) NaN NaN NaN
Contact person: NaN Katarina Petković NaN NaN NaN NaN NaN NaN NaN
NaN NaN (only name and surname of the contact person) NaN NaN NaN NaN NaN NaN NaN
Telephone: NaN 048 651 200 NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
E-mail address: NaN [email protected] NaN NaN NaN NaN NaN NaN NaN
NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Audit firm: NaN Ernst & Young d.o.o. NaN NaN NaN NaN NaN NaN NaN
NaN NaN (name of the audit firm) NaN NaN NaN NaN NaN NaN NaN
Certified auditor: NaN Berislav Horvat NaN NaN NaN NaN NaN NaN NaN
NaN NaN (name and surname) NaN NaN NaN NaN NaN NaN NaN

Balance sheet

BALANCE SHEET Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8
balance as at 31.03.2026 NaN NaN NaN NaN NaN NaN NaN NaN
in EUR NaN NaN NaN NaN NaN NaN NaN NaN
Submitter: PODRAVKA prehrambena industrija d.d., KOPRIVNICA NaN NaN NaN NaN NaN NaN NaN NaN
Item NaN NaN NaN NaN NaN ADP\ncode Last day of the preceding business year At the reporting date of the current period\n
1 NaN NaN NaN NaN NaN 2 3 4
NaN NaN NaN NaN NaN NaN NaN NaN NaN
A) RECEIVABLES FOR SUBSCRIBED CAPITAL UNPAID NaN NaN NaN NaN NaN 1 0 0
B) FIXED ASSETS (ADP 003+010+020+031+036) NaN NaN NaN NaN NaN 2 740571832.42 738967395.85
I INTANGIBLE ASSETS (ADP 004 to 009) NaN NaN NaN NaN NaN 3 18546624.4 19578310.82
1 Research and development NaN NaN NaN NaN NaN 4 0 0
2 Concessions, patents, licences, trademarks, software and other rights NaN NaN NaN NaN NaN 5 17972959.53 17167786.8
3 Goodwill NaN NaN NaN NaN NaN 6 0 0
4 Advances for the purchase of intangible assets NaN NaN NaN NaN NaN 7 0 0
5 Intangible assets in preparation NaN NaN NaN NaN NaN 8 573664.87 2410524.02
6 Other intangible assets NaN NaN NaN NaN NaN 9 0 0
II TANGIBLE ASSETS (ADP 011 to 019) NaN NaN NaN NaN NaN 10 230167166.73 227903971.64
1 Land NaN NaN NaN NaN NaN 11 4593788.77 4590406.79
2 Buildings NaN NaN NaN NaN NaN 12 106307009.9 105235175.18
3 Plant and equipment NaN NaN NaN NaN NaN 13 77666658.7 77306402.94
4 Tools, working inventory and transportation assets NaN NaN NaN NaN NaN 14 22690848.09 22041937.06
5 Biological assets NaN NaN NaN NaN NaN 15 0 0
6 Advances for the purchase of tangible assets NaN NaN NaN NaN NaN 16 56578.17 434124.16
7 Tangible assets in preparation NaN NaN NaN NaN NaN 17 5352763.85 4846115.82
8 Other tangible assets NaN NaN NaN NaN NaN 18 0 0
9 Investment property NaN NaN NaN NaN NaN 19 13499519.25 13449809.69
III FIXED FINANCIAL ASSETS (ADP 021 to 030) NaN NaN NaN NaN NaN 20 471555110.27 472761512.46
1 Investments in holdings (shares) of undertakings within the group NaN NaN NaN NaN NaN 21 464801649.76 464801649.76
2 Investments in other securities of undertakings within the group NaN NaN NaN NaN NaN 22 0 0
3 Loans, deposits, etc. to undertakings within the group NaN NaN NaN NaN NaN 23 6602817 7809219.19
4Investments in holdings (shares) of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 24 0 0
5 Investment in other securities of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 25 0 0
6 Loans, deposits etc. to companies linked by virtue of participating interests NaN NaN NaN NaN NaN 26 0 0
7 Investments in securities NaN NaN NaN NaN NaN 27 52143.1 52143.1
8 Loans, deposits, etc. given NaN NaN NaN NaN NaN 28 98500.41 98500.41
9 Other investments accounted for using the equity method NaN NaN NaN NaN NaN 29 0 0
10 Other fixed financial assets NaN NaN NaN NaN NaN 30 0 0
IV RECEIVABLES (ADP 032 to 035) NaN NaN NaN NaN NaN 31 0 0
1 Receivables from undertakings within the group NaN NaN NaN NaN NaN 32 0 0
2 Receivables from companies linked by virtue of participating interests NaN NaN NaN NaN NaN 33 0 0
3 Customer receivables NaN NaN NaN NaN NaN 34 0 0
4 Other receivables NaN NaN NaN NaN NaN 35 0 0
V DEFERRED TAX ASSETS NaN NaN NaN NaN NaN 36 20302931.02 18723600.93
C) CURRENT ASSETS (ADP 038+046+053+063) NaN NaN NaN NaN NaN 37 180286835.93 176197755.49
I INVENTORIES (ADP 039 to 045) NaN NaN NaN NaN NaN 38 97204053.3 94888502.48
1 Raw materials and consumables NaN NaN NaN NaN NaN 39 39844860.22 35936425.6
2 Production in progress NaN NaN NaN NaN NaN 40 18275074.23 16432064.52
3 Finished goods NaN NaN NaN NaN NaN 41 27620974.99 31131673.28
4 Merchandise NaN NaN NaN NaN NaN 42 7827610.87 7752806.09
5 Advances for inventories NaN NaN NaN NaN NaN 43 0 0
6 Fixed assets held for sale NaN NaN NaN NaN NaN 44 3635532.99 3635532.99
7 Biological assets NaN NaN NaN NaN NaN 45 0 0
II RECEIVABLES (ADP 047 to 052) NaN NaN NaN NaN NaN 46 60328485.28 66933265.91
1 Receivables from undertakings within the group NaN NaN NaN NaN NaN 47 25999770.08 30610637.37
2 Receivables from companies linked by virtue of participating interests NaN NaN NaN NaN NaN 48 0 0
3 Customer receivables NaN NaN NaN NaN NaN 49 33587289.94 35738005.76
4 Receivables from employees and members of the undertaking NaN NaN NaN NaN NaN 50 242329.07 138974.27
5 Receivables from government and other institutions NaN NaN NaN NaN NaN 51 334948.9 343498.8
6 Other receivables NaN NaN NaN NaN NaN 52 164147.29 102149.71
III CURRENT FINANCIAL ASSETS (ADP 054 to 062) NaN NaN NaN NaN NaN 53 12300444 10650720.29
1 Investments in holdings (shares) of undertakings within the group NaN NaN NaN NaN NaN 54 0 0
2 Investments in other securities of undertakings within the group NaN NaN NaN NaN NaN 55 0 0
3 Loans, deposits, etc. to undertakings within the group NaN NaN NaN NaN NaN 56 12300444 10600444
4 Investments in holdings (shares) of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 57 0 0
5 Investment in other securities of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 58 0 0
6 Loans, deposits etc. to companies linked by virtue of participating interests NaN NaN NaN NaN NaN 59 0 0
7 Investments in securities NaN NaN NaN NaN NaN 60 0 50276.29
8 Loans, deposits, etc. given NaN NaN NaN NaN NaN 61 0 0
9 Other financial assets NaN NaN NaN NaN NaN 62 0 0
IV CASH AT BANK AND IN HAND NaN NaN NaN NaN NaN 63 10453853.35 3725266.81
D ) PREPAID EXPENSES AND ACCRUED INCOME NaN NaN NaN NaN NaN 64 594804.11 547350.42
E) TOTAL ASSETS (ADP 001+002+037+064) NaN NaN NaN NaN NaN 65 921453472.46 915712501.76
OFF-BALANCE SHEET ITEMS NaN NaN NaN NaN NaN 66 28965258.37 32806383.82
LIABILITIES NaN NaN NaN NaN NaN NaN NaN NaN
A) CAPITAL AND RESERVES (ADP 068 to 070+076+077+083+086+089) NaN NaN NaN NaN NaN 67 443956077.25 451044952.8
I INITIAL (SUBSCRIBED) CAPITAL NaN NaN NaN NaN NaN 68 213600090 213600090
II CAPITAL RESERVES NaN NaN NaN NaN NaN 69 14615530.07 14615530.07
III RESERVES FROM PROFIT (ADP 071+072-073+074+075) NaN NaN NaN NaN NaN 70 129518437.31 129518437.31
1 Legal reserves NaN NaN NaN NaN NaN 71 12419082.14 12419082.14
2 Reserves for treasury shares NaN NaN NaN NaN NaN 72 19590484 19590484
3 Treasury shares and holdings (deductible item) NaN NaN NaN NaN NaN 73 -4540583.35 -4540583.35
4 Statutory reserves NaN NaN NaN NaN NaN 74 0 0
5 Other reserves NaN NaN NaN NaN NaN 75 102049454.52 102049454.52
IV REVALUATION RESERVES NaN NaN NaN NaN NaN 76 0 0
V FAIR VALUE RESERVES AND OTHER (ADP 078 to 083) NaN NaN NaN NaN NaN 77 0 0
1 Financial assets at fair value through other comprehensive income (i.e. available for sale) NaN NaN NaN NaN NaN 78 0 0
2 Cash flow hedge - effective portion NaN NaN NaN NaN NaN 79 0 0
3 Hedge of a net investment in a foreign operation - effective portion NaN NaN NaN NaN NaN 80 0 0
4 Other fair value reserves NaN NaN NaN NaN NaN 81 0 0
5 Exchange rate differences from translation of foreign operations (consolidation) NaN NaN NaN NaN NaN 82 0 0
6 Exchange rate differences from translation into the presentation currency NaN NaN NaN NaN NaN 83 0 0
VI RETAINED PROFIT OR LOSS BROUGHT FORWARD (ADP 085-086) NaN NaN NaN NaN NaN 84 37013544.73 86222019.87
1 Retained profit NaN NaN NaN NaN NaN 85 37013544.73 86222019.87
2 Loss brought forward NaN NaN NaN NaN NaN 86 0 0
VII PROFIT OR LOSS FOR THE BUSINESS YEAR (ADP 088-089) NaN NaN NaN NaN NaN 87 49208475.14 7088875.55
1 Profit for the business year NaN NaN NaN NaN NaN 88 49208475.14 7088875.55
2 Loss for the business year NaN NaN NaN NaN NaN 89 0 0
VIII MINORITY (NON-CONTROLLING) INTEREST NaN NaN NaN NaN NaN 90 0 0
B) PROVISIONS (ADP 092 to 097) NaN NaN NaN NaN NaN 91 4955375.41 4975143.29
1 Provisions for pensions, termination benefits and similar obligations NaN NaN NaN NaN NaN 92 4241791.86 4241791.86
2 Provisions for tax liabilities NaN NaN NaN NaN NaN 93 0 0
3 Provisions for ongoing legal cases NaN NaN NaN NaN NaN 94 713583.55 733351.43
4 Provisions for renewal of natural resources NaN NaN NaN NaN NaN 95 0 0
5 Provisions for warranty obligations NaN NaN NaN NaN NaN 96 0 0
6 Other provisions NaN NaN NaN NaN NaN 97 0 0
C) LONG-TERM LIABILITIES (ADP 099 to 109) NaN NaN NaN NaN NaN 98 310077963.95 338348776.19
1 Liabilities to undertakings within the group NaN NaN NaN NaN NaN 99 0 0
2 Liabilities for loans, deposits, etc. of undertakings within the group NaN NaN NaN NaN NaN 100 50500168.45 89017483.02
3 Liabilities to companies linked by virtue of participating interests NaN NaN NaN NaN NaN 101 0 0
4 Liabilities for loans, deposits etc. of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 102 0 0
5 Liabilities for loans, deposits etc. NaN NaN NaN NaN NaN 103 0 0
6 Liabilities to banks and other financial institutions NaN NaN NaN NaN NaN 104 259577795.5 249331293.17
7 Liabilities for advance payments NaN NaN NaN NaN NaN 105 0 0
8 Liabilities to suppliers NaN NaN NaN NaN NaN 106 0 0
9 Liabilities for securities NaN NaN NaN NaN NaN 107 0 0
10 Other long-term liabilities NaN NaN NaN NaN NaN 108 0 0
11 Deferred tax liability NaN NaN NaN NaN NaN 109 0 0
D) SHORT-TERM LIABILITIES (ADP 111 to 124) NaN NaN NaN NaN NaN 110 144900923.09 102543721.09
1 Liabilities to undertakings within the group NaN NaN NaN NaN NaN 111 3008191.87 3412221.61
2 Liabilities for loans, deposits, etc. of undertakings within the group NaN NaN NaN NaN NaN 112 22280524.84 1989.46
3 Liabilities to companies linked by virtue of participating interests NaN NaN NaN NaN NaN 113 0 0
4 Liabilities for loans, deposits etc. of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 114 0 0
5 Liabilities for loans, deposits etc. NaN NaN NaN NaN NaN 115 76919.16 76919.16
6 Liabilities to banks and other financial institutions NaN NaN NaN NaN NaN 116 75604575.11 52849953.99
7 Liabilities for advance payments NaN NaN NaN NaN NaN 117 0 0
8 Liabilities to suppliers NaN NaN NaN NaN NaN 118 32516852.52 35816187.42
9 Liabilities for securities NaN NaN NaN NaN NaN 119 0 43759.98
10 Liabilities to employees NaN NaN NaN NaN NaN 120 6821427.92 6719702.2
11 Taxes, contributions and similar liabilities NaN NaN NaN NaN NaN 121 1067574.43 1051023.11
12 Liabilities arising from the share in the result NaN NaN NaN NaN NaN 122 848846.74 845759.35
13 Liabilities arising from fixed assets held for sale NaN NaN NaN NaN NaN 123 0 0
14 Other short-term liabilities NaN NaN NaN NaN NaN 124 2676010.5 1726204.81
E) ACCRUALS AND DEFERRED INCOME NaN NaN NaN NaN NaN 125 17563132.76 18799908.39
F) TOTAL – LIABILITIES (ADP 067+091+098+110+125) NaN NaN NaN NaN NaN 126 921453472.46 915712501.76
G) OFF-BALANCE SHEET ITEMS NaN NaN NaN NaN NaN 127 28965258.37 32806383.82

P&L

STATEMENT OF PROFIT OR LOSS Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8 Unnamed: 9 Unnamed: 10
for the period 01.01.2026 to 31.03.2026 NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
in EUR NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Submitter: PODRAVKA prehrambena industrija d.d., KOPRIVNICA NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
Item NaN NaN NaN NaN NaN ADP\ncode Same period of the previous year NaN Current period NaN
NaN NaN NaN NaN NaN NaN NaN Cumulative Quarter Cumulative Quarter
1 NaN NaN NaN NaN NaN 2 3 4 5 6
I OPERATING INCOME (ADP 002 to 006) NaN NaN NaN NaN NaN 1 92797552.88 92797552.88 96083769.12 96083769.12
1 Income from sales with undertakings within the group NaN NaN NaN NaN NaN 2 35909481.34 35909481.34 37926918.35 37926918.35
2 Income from sales NaN NaN NaN NaN NaN 3 56654214.82 56654214.82 57798600.28 57798600.28
3 Income from the use of own products, goods and services NaN NaN NaN NaN NaN 4 0 0 0 0
4 Other operating income with undertakings within the group NaN NaN NaN NaN NaN 5 0 0 0 0
5 Other operating income (outside the group) NaN NaN NaN NaN NaN 6 233856.72 233856.72 358250.49 358250.49
II OPERATING EXPENSES (ADP 08+009+013+017+018+019+022+029) NaN NaN NaN NaN NaN 7 80618637.88 80618637.88 84612664.52 84612664.52
1 Changes in inventories of work in progress and finished goods NaN NaN NaN NaN NaN 8 -2658727.72 -2658727.72 -1386827.17 -1386827.17
2 Material costs (ADP 010 to 012) NaN NaN NaN NaN NaN 9 56223724.46 56223724.46 57776142.25 57776142.25
a) Costs of raw materials and consumables NaN NaN NaN NaN NaN 10 41179412.73 41179412.73 41951910.53 41951910.53
b) Costs of goods sold NaN NaN NaN NaN NaN 11 9439092.16 9439092.16 10783051.86 10783051.86
c) Other external costs NaN NaN NaN NaN NaN 12 5605219.57 5605219.57 5041179.86 5041179.86
3 Staff costs (ADP 014 to 016) NaN NaN NaN NaN NaN 13 21316832.86 21316832.86 22071315.68 22071315.68
a) Net salaries and wages NaN NaN NaN NaN NaN 14 14294901.04 14294901.04 14764284.88 14764284.88
b) Tax and contributions from salary costs NaN NaN NaN NaN NaN 15 4505502.1 4505502.1 4689677.28 4689677.28
c) Contributions on salaries NaN NaN NaN NaN NaN 16 2516429.72 2516429.72 2617353.52 2617353.52
4 Depreciation NaN NaN NaN NaN NaN 17 4279383.54 4279383.54 5121823.71 5121823.71
5 Other costs NaN NaN NaN NaN NaN 18 1500949.91 1500949.91 1909831.32 1909831.32
6 Value adjustments (ADP 020+021) NaN NaN NaN NaN NaN 19 -256314.49 -256314.49 225602.86 225602.86
a) fixed assets other than financial assets NaN NaN NaN NaN NaN 20 0 0 0 0
b) current assets other than financial assets NaN NaN NaN NaN NaN 21 -256314.49 -256314.49 225602.86 225602.86
7 Provisions (ADP 023 to 028) NaN NaN NaN NaN NaN 22 43562.87 43562.87 18958.21 18958.21
a) Provisions for pensions, termination benefits and similar obligations NaN NaN NaN NaN NaN 23 0 0 0 0
b) Provisions for tax liabilities NaN NaN NaN NaN NaN 24 0 0 0 0
c) Provisions for ongoing legal cases NaN NaN NaN NaN NaN 25 43562.87 43562.87 18958.21 18958.21
d) Provisions for renewal of natural resources NaN NaN NaN NaN NaN 26 0 0 0 0
e) Provisions for warranty obligations NaN NaN NaN NaN NaN 27 0 0 0 0
f) Other provisions NaN NaN NaN NaN NaN 28 0 0 0 0
8 Other operating expenses NaN NaN NaN NaN NaN 29 169226.45 169226.45 -1124182.34 -1124182.34
III FINANCIAL INCOME (ADP 031 to 040) NaN NaN NaN NaN NaN 30 2341408.57 2341408.57 173576.54 173576.54
1 Income from investments in holdings (shares) of undertakings within the group NaN NaN NaN NaN NaN 31 2045167.52 2045167.52 0 0
2 Income from investments in holdings (shares) of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 32 0 0 0 0
3 Income from other long-term financial investment and loans granted to undertakings within the group NaN NaN NaN NaN NaN 33 0 0 0 0
4 Other interest income from operations with undertakings within the group NaN NaN NaN NaN NaN 34 173771.21 173771.21 125751.53 125751.53
5 Exchange rate differences and other financial income from operations with undertakings within the group NaN NaN NaN NaN NaN 35 0 0 0 0
6 Income from other long-term financial investments and loans NaN NaN NaN NaN NaN 36 0 0 0 0
7 Other interest income NaN NaN NaN NaN NaN 37 94132.6 94132.6 41308.7 41308.7
8 Exchange rate differences and other financial income NaN NaN NaN NaN NaN 38 0 0 0 0
9 Unrealised gains (income) from financial assets NaN NaN NaN NaN NaN 39 28337.24 28337.24 6516.31 6516.31
10 Other financial income NaN NaN NaN NaN NaN 40 0 0 0 0
IV FINANCIAL EXPENSES (ADP 042 to 048) NaN NaN NaN NaN NaN 41 2780170.34 2780170.34 2976475.5 2976475.5
1 Interest expenses and similar expenses with undertakings within the group NaN NaN NaN NaN NaN 42 551916.47 551916.47 548318.18 548318.18
2 Exchange rate differences and other expenses from operations with undertakings within the group NaN NaN NaN NaN NaN 43 0 0 0 0
3 Interest expenses and similar expenses NaN NaN NaN NaN NaN 44 2210543.32 2210543.32 2422492.94 2422492.94
4 Exchange rate differences and other expenses NaN NaN NaN NaN NaN 45 17710.55 17710.55 5664.38 5664.38
5 Unrealised losses (expenses) from financial assets NaN NaN NaN NaN NaN 46 0 0 0 0
6 Value adjustments of financial assets (net) NaN NaN NaN NaN NaN 47 0 0 0 0
7 Other financial expenses NaN NaN NaN NaN NaN 48 0 0 0 0
V SHARE IN PROFIT FROM UNDERTAKINGS LINKED BY VRITUE OF PARTICIPATING INTERESTS NaN NaN NaN NaN NaN 49 0 0 0 0
VI SHARE IN PROFIT FROM JOINT VENTURES NaN NaN NaN NaN NaN 50 0 0 0 0
VII SHARE IN LOSS OF COMPANIES LINKED BY VIRTUE OF PARTICIPATING INTEREST NaN NaN NaN NaN NaN 51 0 0 0 0
VIII SHARE IN LOSS OF JOINT VENTURES NaN NaN NaN NaN NaN 52 0 0 0 0
IX TOTAL INCOME (ADP 001+030+049 +050) NaN NaN NaN NaN NaN 53 95138961.45 95138961.45 96257345.66 96257345.66
X TOTAL EXPENDITURE (ADP 007+041+051 + 052) NaN NaN NaN NaN NaN 54 83398808.22 83398808.22 87589140.02 87589140.02
XI PRE-TAX PROFIT OR LOSS (ADP 053-054) NaN NaN NaN NaN NaN 55 11740153.23 11740153.23 8668205.64 8668205.64
1 Pre-tax profit (ADP 053-054) NaN NaN NaN NaN NaN 56 11740153.23 11740153.23 8668205.64 8668205.64
2 Pre-tax loss (ADP 054-053) NaN NaN NaN NaN NaN 57 0 0 0 0
XII INCOME TAX NaN NaN NaN NaN NaN 58 1882040.84 1882040.84 1579330.09 1579330.09
XIII PROFIT OR LOSS FOR THE PERIOD (ADP 055-059) NaN NaN NaN NaN NaN 59 9858112.39 9858112.39 7088875.55 7088875.55
1 Profit for the period (ADP 055-059) NaN NaN NaN NaN NaN 60 9858112.39 9858112.39 7088875.55 7088875.55
2 Loss for the period (ADP 059-055) NaN NaN NaN NaN NaN 61 0 0 0 0
DISCONTINUED OPERATIONS (to be filled in by undertakings subject to IFRS only with discontinued operations) NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
XIV PRE-TAX PROFIT OR LOSS OF DISCONTINUED OPERATIONS (ADP 063-064) NaN NaN NaN NaN NaN 62 0 0 0 0
1 Pre-tax profit from discontinued operations NaN NaN NaN NaN NaN 63 0 0 0 0
2 Pre-tax loss on discontinued operations NaN NaN NaN NaN NaN 64 0 0 0 0
XV INCOME TAX OF DISCONTINUED OPERATIONS NaN NaN NaN NaN NaN 65 0 0 0 0
1 Discontinued operations profit for the period (ADP 062-065) NaN NaN NaN NaN NaN 66 0 0 0 0
2 Discontinued operations loss for the period (ADP 065-062) NaN NaN NaN NaN NaN 67 0 0 0 0
TOTAL OPERATIONS (to be filled in only by undertakings subject to IFRS with discontinued operations) NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
XVI PRE-TAX PROFIT OR LOSS (ADP 055+062) NaN NaN NaN NaN NaN 68 0 0 0 0
1 Pre-tax profit (ADP 068) NaN NaN NaN NaN NaN 69 0 0 0 0
2 Pre-tax loss (ADP 068) NaN NaN NaN NaN NaN 70 0 0 0 0
XVII INCOME TAX (ADP 058+065) NaN NaN NaN NaN NaN 71 0 0 0 0
XVIII PROFIT OR LOSS FOR THE PERIOD (ADP 068-071) NaN NaN NaN NaN NaN 72 0 0 0 0
1 Profit for the period (ADP 068-071) NaN NaN NaN NaN NaN 73 0 0 0 0
2 Loss for the period (ADP 071-068) NaN NaN NaN NaN NaN 74 0 0 0 0
APPENDIX to the P&L (to be filled in by undertakings that draw up consolidated annual financial statements) NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
XIX PROFIT OR LOSS FOR THE PERIOD (ADP 076+077) NaN NaN NaN NaN NaN 75 0 0 0 0
1 Attributable to owners of the parent NaN NaN NaN NaN NaN 76 0 0 0 0
2 Attributable to minority (non-controlling) interest NaN NaN NaN NaN NaN 77 0 0 0 0
STATEMENT OF OTHER COMPRHENSIVE INCOME (to be filled in by undertakings subject to IFRS) NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
I PROFIT OR LOSS FOR THE PERIOD NaN NaN NaN NaN NaN 78 9858112.39 9858112.39 7088875.55 7088875.55
II OTHER COMPREHENSIVE INCOME/LOSS BEFORE TAX\n (ADP 80 + 87) NaN NaN NaN NaN NaN 79 0 0 0 0
III Items that will not be reclassified to profit or loss (ADP 081 to 085) NaN NaN NaN NaN NaN 80 0 0 0 0
1 Changes in revaluation reserves of fixed tangible and intangible assets NaN NaN NaN NaN NaN 81 0 0 0 0
2 Profit or loss arising from subsequent measurement of equity securities at fair value through other comprehensive income NaN NaN NaN NaN NaN 82 0 0 0 0
3 Changes in the fair value of the financial liability at fair value through statement of profit or loss that is attributable to changes in the credit risk of that liability NaN NaN NaN NaN NaN 83 0 0 0 0
4 Actuarial gains/losses on the defined benefit obligation NaN NaN NaN NaN NaN 84 0 0 0 0
5 Other items that will not be reclassified NaN NaN NaN NaN NaN 85 0 0 0 0
6 Income tax relating to items that will not be reclassified NaN NaN NaN NaN NaN 86 0 0 0 0
IV Items that may be reclassified to profit or loss (ADP 088 to 095) NaN NaN NaN NaN NaN 87 0 0 0 0
1 Exchange rate differences from translation of foreign operations NaN NaN NaN NaN NaN 88 0 0 0 0
2 Exchange rate differences from translation into the presentation currency NaN NaN NaN NaN NaN 89 0 0 0 0
3 Profit or loss arising from subsequent measurement of debt securities at fair value through other comprehensive income NaN NaN NaN NaN NaN 90 0 0 0 0
4 Profit or loss arising from effective cash flow hedging NaN NaN NaN NaN NaN 91 0 0 0 0
5 Profit or loss arising from effective hedge of a net investment in a foreign operation NaN NaN NaN NaN NaN 92 0 0 0 0
6 Share in other comprehensive income/loss of companies linked by virtue of participating interests NaN NaN NaN NaN NaN 93 0 0 0 0
7 Changes in fair value of the time value of an option NaN NaN NaN NaN NaN 94 0 0 0 0
8 Changes in fair value of the forward elements of forward contracts NaN NaN NaN NaN NaN 95 0 0 0 0
9 Other items that may be reclassified to profit or loss NaN NaN NaN NaN NaN 96 0 0 0 0
10 Income tax relating to items that may be reclassified to profit or loss NaN NaN NaN NaN NaN 97 0 0 0 0
V NET OTHER COMPREHENSIVE INCOME OR LOSS (ADP 080+087 - 086 - 097) NaN NaN NaN NaN NaN 98 0 0 0 0
VI COMPREHENSIVE INCOME OR LOSS FOR THE PERIOD (ADP 078+099) NaN NaN NaN NaN NaN 99 9858112.39 9858112.39 7088875.55 7088875.55
APPENDIX to the Statement on comprehensive income (to be filled in by undertakings that draw up consolidated statements) NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
VII COMPREHENSIVE INCOME OR LOSS FOR THE PERIOD (ADP 101+102) NaN NaN NaN NaN NaN 100 0 0 0 0
1 Attributable to owners of the parent NaN NaN NaN NaN NaN 101 0 0 0 0
2 Attributable to minority (non-controlling) interest NaN NaN NaN NaN NaN 102 0 0 0 0

CF_I

STATEMENT OF CASH FLOWS - indirect method Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8
for the period 01.01.2026 . to 31.03.2026. NaN NaN NaN NaN NaN NaN NaN NaN
in EUR NaN NaN NaN NaN NaN NaN NaN NaN
Submitter: PODRAVKA prehrambena industrija d.d., KOPRIVNICA NaN NaN NaN NaN NaN NaN NaN NaN
Item NaN NaN NaN NaN NaN ADP\ncode Same period of the previous year Current period
1 NaN NaN NaN NaN NaN 2 3 4
Cash flow from operating activities NaN NaN NaN NaN NaN NaN NaN NaN
1 Pre-tax profit NaN NaN NaN NaN NaN 1 11740153.23 8668205.64
2 Adjustments (ADP 003 to 010): NaN NaN NaN NaN NaN 2 4214989.26 7860634.83
a) Depreciation NaN NaN NaN NaN NaN 3 4279383.54 5121823.71
b) Gains and losses from sale and value adjustment of fixed tangible and intangible assets NaN NaN NaN NaN NaN 4 14091.6 -5525.21
c) Gains and losses from sale and unrealised gains and losses and \nvalue adjustment of financial assets NaN NaN NaN NaN NaN 5 -36811.77 207426.09
d) Interest and dividend income NaN NaN NaN NaN NaN 6 -2313071.33 -167060.23
e) Interest expenses NaN NaN NaN NaN NaN 7 2762459.79 2970811.12
f) Provisions NaN NaN NaN NaN NaN 8 -494846.4 -276490.62
g) Exchange rate differences (unrealised) NaN NaN NaN NaN NaN 9 3783.83 9649.97
h) Other adjustments for non-cash transactions and unrealised gains and losses NaN NaN NaN NaN NaN 10 0 0
I Cash flow increase or decrease before changes in working capital (ADP 001+002) NaN NaN NaN NaN NaN 11 15955142.49 16528840.47
3 Changes in the working capital (ADP 013 to 016) NaN NaN NaN NaN NaN 12 1550501.81 41276.85
a) Increase or decrease in short-term liabilities NaN NaN NaN NaN NaN 13 -503678.41 4587825.19
b) Increase or decrease in short-term receivables NaN NaN NaN NaN NaN 14 7493020.65 -6862099.16
c) Increase or decrease in inventories NaN NaN NaN NaN NaN 15 -5438840.43 2315550.82
d) Other increase or decrease in working capital NaN NaN NaN NaN NaN 16 0 0
II Cash from operations (ADP 011+012) NaN NaN NaN NaN NaN 17 17505644.3 16570117.32
4 Interest paid NaN NaN NaN NaN NaN 18 -735689 -3119087.84
5 Income tax paid NaN NaN NaN NaN NaN 19 -104907.03 -5112.02
A) NET CASH FLOW FROM OPERATING ACTIVITIES (ADP 017 to 019) NaN NaN NaN NaN NaN 20 16665048.27 13445917.46
Cash flow from investment activities NaN NaN NaN NaN NaN NaN NaN NaN
1 Cash receipts from sales of fixed tangible and intangible assets NaN NaN NaN NaN NaN 21 7765.79 6364.49
2 Cash receipts from sales of financial instruments NaN NaN NaN NaN NaN 22 0 0
3 Interest received NaN NaN NaN NaN NaN 23 127724.31 101091.53
4 Dividends received NaN NaN NaN NaN NaN 24 2045167.52 0
5 Cash receipts from repayment of loans and deposits NaN NaN NaN NaN NaN 25 301122.05 6161910.54
6 Other cash receipts from investment activities NaN NaN NaN NaN NaN 26 0 0
III Total cash receipts from investment activities (ADP 021 to 026) NaN NaN NaN NaN NaN 27 2481779.67 6269366.56
1 Cash payments for the purchase of fixed tangible and intangible assets NaN NaN NaN NaN NaN 28 -5358006.86 -3862690.65
2 Cash payments for the acquisition of financial instruments NaN NaN NaN NaN NaN 29 0 0
3 Cash payments for loans and deposits for the period NaN NaN NaN NaN NaN 30 -4842817 -5506402.19
4 Acquisition of a subsidiary, net of cash acquired NaN NaN NaN NaN NaN 31 -282915010 0
5 Other cash payments from investment activities NaN NaN NaN NaN NaN 32 0 0
IV Total cash payments from investment activities (ADP 028 to 032) NaN NaN NaN NaN NaN 33 -293115833.86 -9369092.84
B) NET CASH FLOW FROM INVESTMENT ACTIVITIES (ADP 027+033) NaN NaN NaN NaN NaN 34 -290634054.19 -3099726.28
Cash flow from financing activities NaN NaN NaN NaN NaN NaN NaN NaN
1 Cash receipts from the increase in initial (subscribed) capital NaN NaN NaN NaN NaN 35 0 0
2 Cash receipts from the issue of equity financial instruments and debt financial instruments NaN NaN NaN NaN NaN 36 0 0
3 Cash receipts from credit principals, loans and other borrowings NaN NaN NaN NaN NaN 37 286247076.85 49000000
4 Other cash receipts from financing activities NaN NaN NaN NaN NaN 38 1779875 0
V Total cash receipts from financing activities (ADP 035 to 038) NaN NaN NaN NaN NaN 39 288026951.85 49000000
1 Cash payments for the repayment of credit principals, loans and other borrowings and debt financial instruments NaN NaN NaN NaN NaN 40 -12000000 -65600000
2 Cash payments for dividends NaN NaN NaN NaN NaN 41 -2171.5 -3087.39
3 Cash payments for finance lease NaN NaN NaN NaN NaN 42 0 0
4 Cash payments for the redemption of own shares and decrease in initial\n(subscribed) capital NaN NaN NaN NaN NaN 43 -675843.9 0
5 Other cash payments from financing activities NaN NaN NaN NaN NaN 44 -320820.37 -471690.33
VI Total cash payments from financing activities (ADP 040 to 044) NaN NaN NaN NaN NaN 45 -12998835.77 -66074777.72
C) NET CASH FLOW FROM FINANCING ACTIVITIES (ADP 039+045) NaN NaN NaN NaN NaN 46 275028116.08 -17074777.72
1 Unrealised exchange rate differences in respect of cash and cash equivalents NaN NaN NaN NaN NaN 47 0 0
D) NET INCREASE OR DECREASE IN CASH FLOW (ADP 020+034+046+047) NaN NaN NaN NaN NaN 48 1059110.16 -6728586.54
E) CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD NaN NaN NaN NaN NaN 49 13752077.84 10453853.35
F) CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD (ADP 048+049) NaN NaN NaN NaN NaN 50 14811188.0 3725266.81

CF_D

STATEMENT OF CASH FLOWS - direct method Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8
for the period 01.01.2026 to 31.03.2026 NaN NaN NaN NaN NaN NaN NaN NaN
in EUR NaN NaN NaN NaN NaN NaN NaN NaN
Submitter: PODRAVKA prehrambena industrija d.d., KOPRIVNICA NaN NaN NaN NaN NaN NaN NaN NaN
Item NaN NaN NaN NaN NaN ADP\ncode Same period of the previous year Current period
1 NaN NaN NaN NaN NaN 2 3 4
Cash flow from operating activities NaN NaN NaN NaN NaN NaN NaN NaN
1 Cash receipts from customers NaN NaN NaN NaN NaN 1 0 0
2 Cash receipts from royalties, fees, commissions and other revenue NaN NaN NaN NaN NaN 2 0 0
3 Cash receipts from insurance premiums NaN NaN NaN NaN NaN 3 0 0
4 Cash receipts from tax refund NaN NaN NaN NaN NaN 4 0 0
5 Other cash receipts from operating activities NaN NaN NaN NaN NaN 5 0 0
I Total cash receipts from operating activities (ADP 001 to 005) NaN NaN NaN NaN NaN 6 0 0
1 Cash payments to suppliers NaN NaN NaN NaN NaN 7 0 0
2 Cash payments to employees NaN NaN NaN NaN NaN 8 0 0
3 Cash payments for insurance premiums NaN NaN NaN NaN NaN 9 0 0
4 Interest paid NaN NaN NaN NaN NaN 10 0 0
5 Income tax paid NaN NaN NaN NaN NaN 11 0 0
6 Other cash payments from operating activities NaN NaN NaN NaN NaN 12 0 0
II Total cash payments from operating activities (ADP 007 to 012) NaN NaN NaN NaN NaN 13 0 0
A) NET CASH FLOW FROM OPERATING ACTIVITIES (ADP 006 + 013) NaN NaN NaN NaN NaN 14 0 0
Cash flow from investment activities NaN NaN NaN NaN NaN NaN NaN NaN
1 Cash receipts from sales of fixed tangible and intangible assets NaN NaN NaN NaN NaN 15 0 0
2 Cash receipts from sales of financial instruments NaN NaN NaN NaN NaN 16 0 0
3 Interest received NaN NaN NaN NaN NaN 17 0 0
4 Dividends received NaN NaN NaN NaN NaN 18 0 0
5 Cash receipts from the repayment of loans and deposits NaN NaN NaN NaN NaN 19 0 0
6 Other cash receipts from investment activities NaN NaN NaN NaN NaN 20 0 0
III Total cash receipts from investment activities (ADP 015 to 020) NaN NaN NaN NaN NaN 21 0 0
1 Cash payments for the purchase of fixed tangible and intangible assets NaN NaN NaN NaN NaN 22 0 0
2 Cash payments for the acquisition of financial instruments NaN NaN NaN NaN NaN 23 0 0
3 Cash payments for loans and deposits NaN NaN NaN NaN NaN 24 0 0
4 Acquisition of a subsidiary, net of cash acquired NaN NaN NaN NaN NaN 25 0 0
5 Other cash payments from investment activities NaN NaN NaN NaN NaN 26 0 0
IV Total cash payments from investment activities (ADP 022 to 026) NaN NaN NaN NaN NaN 27 0 0
B) NET CASH FLOW FROM INVESTMENT ACTIVITIES (ADP 021 + 027) NaN NaN NaN NaN NaN 28 0 0
Cash flow from financing activities NaN NaN NaN NaN NaN 0 NaN NaN
1 Cash receipts from the increase in initial (subscribed) capital NaN NaN NaN NaN NaN 29 0 0
2 Cash receipts the from issue of equity financial instruments and debt financial instruments NaN NaN NaN NaN NaN 30 0 0
3 Cash receipts from credit principals, loans and other borrowings NaN NaN NaN NaN NaN 31 0 0
4 Other cash receipts from financing activities NaN NaN NaN NaN NaN 32 0 0
V Total cash receipts from financing activities (ADP 029 to 032) NaN NaN NaN NaN NaN 33 0 0
1 Cash payments for the repayment of credit principals, loans and\nother borrowings and debt financial instruments NaN NaN NaN NaN NaN 34 0 0
2 Cash payments for dividends NaN NaN NaN NaN NaN 35 0 0
3 Cash payments for finance lease NaN NaN NaN NaN NaN 36 0 0
4 Cash payments for the redemption of own shares and decrease in initial\n(subscribed) capital NaN NaN NaN NaN NaN 37 0 0
5 Other cash payments from financing activities NaN NaN NaN NaN NaN 38 0 0
VI Total cash payments from financing activities (ADP 034 to 038) NaN NaN NaN NaN NaN 39 0 0
C) NET CASH FLOW FROM FINANCING ACTIVITIES (ADP 033+039) NaN NaN NaN NaN NaN 40 0 0
1 Unrealised exchange rate differences in respect of cash and cash equivalents NaN NaN NaN NaN NaN 41 0 0
D) NET INCREASE OR DECREASE IN CASH FLOW (ADP 014 + 028 + 040 + 041) NaN NaN NaN NaN NaN 42 0 0
E) CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD NaN NaN NaN NaN NaN 43 0 0
F) CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD (ADP 042+043) NaN NaN NaN NaN NaN 44 0 0

SOCE

STATEMENT OF CHANGES IN EQUITY Unnamed: 1 Unnamed: 2 Unnamed: 3 Unnamed: 4 Unnamed: 5 Unnamed: 6 Unnamed: 7 Unnamed: 8 Unnamed: 9 Unnamed: 10 Unnamed: 11 Unnamed: 12 Unnamed: 13 Unnamed: 14 Unnamed: 15 Unnamed: 16 Unnamed: 17 Unnamed: 18 Unnamed: 19 Unnamed: 20 Unnamed: 21 Unnamed: 22 Unnamed: 23 Unnamed: 24 Unnamed: 25
NaN NaN for the period from NaN 2026-01-01 to 2026-03-31 00:00:00 NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN in EUR NaN
Item NaN NaN NaN NaT NaN ADP\ncode Attributable to owners of the parent NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN Minority (non-controlling)\n interest Total capital and reserves
NaN NaN NaN NaN NaT NaN NaN Initial (subscribed) capital Capital reserves Legal reserves Reserves for treasury shares Treasury shares and holdings (deductible item) Statutory reserves Other reserves Revaluation reserves Financial assets at fair value through other comprehensive income (available for sale) Cash flow hedge - effective portion Hedge of a net investment in a foreign operation - effective portion Other fair value reserves Exchange rate differences from translation of foreign operations Exchange rate differences from translation into the presentation currency Retained profit / loss brought forward Profit/loss for the business year Total attributable to owners of the parent NaN NaN
1 NaN NaN NaN NaT NaN 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 (3 to 6 - 7\n + 8 to 18) 20 21 (19+20)
Previous period NaN NaN NaN NaT NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
1 Balance on the first day of the previous business year NaN NaN NaN NaT NaN 1 213600090 16981986.48 12419082.14 19590484 8533599.68 0 102195131.82 0 0 0 0 0 0 0 59176358.36 0 415429533.12 0 415429533.12
2 Changes in accounting policies NaN NaN NaN NaT NaN 2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
3 Correction of errors NaN NaN NaN NaT NaN 3 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
4 Balance on the first day of the previous business year (restated) (ADP 01 to 03) NaN NaN NaN NaT NaN 4 213600090 16981986.48 12419082.14 19590484 8533599.68 0 102195131.82 0 0 0 0 0 0 0 59176358.36 0 415429533.12 0 415429533.12
5 Profit/loss of the period NaN NaN NaN NaT NaN 5 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 49208475.14 49208475.14 0 49208475.14
6 Exchange rate differences from translation of foreign operations NaN NaN NaN NaT NaN 6 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
7 Changes in revaluation reserves of fixed tangible and intangible assets NaN NaN NaN NaT NaN 7 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
8 Profit or loss arising from subsequent measurement of financial assets at fair value through other comprehensive income (available for sale) NaN NaN NaN NaT NaN 8 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
9 Profit or loss arising from effective cash flow hedge NaN NaN NaN NaT NaN 9 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
10 Profit or loss arising from effective hedge of a net investment in a foreign operation NaN NaN NaN NaT NaN 10 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
11 Share in other comprehensive income/loss of companies linked by virtue of participating interests NaN NaN NaN NaT NaN 11 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
12 Actuarial gains/losses on the defined benefit obligation NaN NaN NaN NaT NaN 12 0 0 0 0 0 0 -177655.25 0 0 0 0 0 0 0 0 0 -177655.25 0 -177655.25
13 Other changes in equity unrelated to owners NaN NaN NaN NaT NaN 13 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
14 Tax on transactions recognised directly in equity NaN NaN NaN NaT NaN 14 0 0 0 0 0 0 31977.95 0 0 0 0 0 0 0 0 0 31977.95 0 31977.95
15 Decrease in initial (subscribed) capital (other than that arising from the pre-bankruptcy settlement procedure and arising from the reinvestment of profit) NaN NaN NaN NaT NaN 15 0 -2366456.41 0 0 0 0 0 0 0 0 0 0 0 0 415397.57 0 -1951058.84 0 -1951058.84
16 Decrease in initial (subscribed) capital arising from the pre-bankruptcy settlement procedure NaN NaN NaN NaT NaN 16 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
17 Decrease in initial (subscribed) capital arising from the reinvestment of profit NaN NaN NaN NaT NaN 17 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
18 Redemption of treasury shares/holdings NaN NaN NaN NaT NaN 18 0 0 0 0 859806.1 0 0 0 0 0 0 0 0 0 0 0 -859806.1 0 -859806.1
19 Payments from members/shareholders NaN NaN NaN NaT NaN 19 0 0 0 0 -4852822.43 0 0 0 0 0 0 0 0 0 0 0 4852822.43 0 4852822.43
20 Payment of share in profit/dividend NaN NaN NaN NaT NaN 20 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -22578211.2 0 -22578211.2 0 -22578211.2
21 Other distributions and payments to members/shareholders NaN NaN NaN NaT NaN 21 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
22 Transfer to reserves according to the annual schedule NaN NaN NaN NaT NaN 22 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
23 Increase in reserves arising from the pre-bankruptcy settlement procedure NaN NaN NaN NaT NaN 23 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
24 Balance on the last day of the previous business year reporting period (ADP 04 to 23) NaN NaN NaN NaT NaN 24 213600090 14615530.07 12419082.14 19590484 4540583.35 0 102049454.52 0 0 0 0 0 0 0 37013544.73 49208475.14 443956077.25 0 443956077.25
APPENDIX TO THE STATEMENT OF CHANGES IN EQUITY (to be filled in by undertakings that draw up financial statements in accordance with the IFRS) NaN NaN NaN NaT NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
I OTHER COMPREHENSIVE INCOME OF THE PREVIOUS PERIOD, NET OF TAX (ADP 06 to 14) NaN NaN NaN NaT NaN 25 0 0 0 0 0 0 -145677.3 0 0 0 0 0 0 0 0 0 -145677.3 0 -145677.3
II COMPREHENSIVE INCOME OR LOSS FOR THE PREVIOUS PERIOD (ADP 05+25) NaN NaN NaN NaT NaN 26 0 0 0 0 0 0 -145677.3 0 0 0 0 0 0 0 0 49208475.14 49062797.84 0 49062797.84
III TRANSACTIONS WITH OWNERS IN THE PREVIOUS PERIOD RECOGNISED DIRECTLY IN EQUITY (ADP 15 to 23) NaN NaN NaN NaT NaN 27 0 -2366456.41 0 0 -3993016.33 0 0 0 0 0 0 0 0 0 -22162813.63 0 -20536253.71 0 -20536253.71
Current period NaN NaN NaN NaT NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
1 Balance on the first day of the current business year NaN NaN NaN NaT NaN 28 213600090 14615530.07 12419082.14 19590484 4540583.35 0 102049454.52 0 0 0 0 0 0 0 86222019.87 0 443956077.25 0 443956077.25
2 Changes in accounting policies NaN NaN NaN NaT NaN 29 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
3 Correction of errors NaN NaN NaN NaT NaN 30 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
4 Balance on the first day of the current business year (restated) (ADP 28 to 30) NaN NaN NaN NaT NaN 31 213600090 14615530.07 12419082.14 19590484 4540583.35 0 102049454.52 0 0 0 0 0 0 0 86222019.87 0 443956077.25 0 443956077.25
5 Profit/loss of the period NaN NaN NaN NaT NaN 32 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 7088875.55 7088875.55 0 7088875.55
6 Exchange rate differences from translation of foreign operations NaN NaN NaN NaT NaN 33 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
7 Changes in revaluation reserves of fixed tangible and intangible assets NaN NaN NaN NaT NaN 34 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
8 Profit or loss arising from subsequent measurement of financial assets at fair value through other comprehensive income (available for sale) NaN NaN NaN NaT NaN 35 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
9 Profit or loss arising from effective cash flow hedge NaN NaN NaN NaT NaN 36 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
10 Profit or loss arising from effective hedge of a net investment in a foreign operation NaN NaN NaN NaT NaN 37 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
11 Share in other comprehensive income/loss of companies linked by virtue of participating interests NaN NaN NaN NaT NaN 38 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
12 Actuarial gains/losses on the defined benefit obligation NaN NaN NaN NaT NaN 39 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
13 Other changes in equity unrelated to owners NaN NaN NaN NaT NaN 40 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
14 Tax on transactions recognised directly in equity NaN NaN NaN NaT NaN 41 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
15 Decrease in initial (subscribed) capital (other than that arising from the pre-bankruptcy settlement procedure and arising from the reinvestment of profit) NaN NaN NaN NaT NaN 42 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
16 Decrease in initial (subscribed) capital arising from the pre-bankruptcy settlement procedure NaN NaN NaN NaT NaN 43 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
17 Decrease in initial (subscribed) capital arising from the reinvestment of profit NaN NaN NaN NaT NaN 44 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
18 Redemption of treasury shares/holdings NaN NaN NaN NaT NaN 45 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
19 Payments from members/shareholders NaN NaN NaN NaT NaN 46 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
20 Payment of share in profit/dividend NaN NaN NaN NaT NaN 47 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
21 Other distributions and payments to members/shareholders NaN NaN NaN NaT NaN 48 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
22 Carryforward per annual plan NaN NaN NaN NaT NaN 49 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
23 Increase in reserves arising from the pre-bankruptcy settlement procedure NaN NaN NaN NaT NaN 50 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
24 Balance on the last day of the current business year reporting period (ADP 31 to 50) NaN NaN NaN NaT NaN 51 213600090 14615530.07 12419082.14 19590484 4540583.35 0 102049454.52 0 0 0 0 0 0 0 86222019.87 7088875.55 451044952.8 0 451044952.8
APPENDIX TO THE STATEMENT OF CHANGES IN EQUITY (to be filled in by undertakings that draw up financial statements in accordance with the IFRS) NaN NaN NaN NaT NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN NaN
I OTHER COMPREHENSIVE INCOME FOR THE CURRENT PERIOD, NET OF TAX (ADP 33 to 41) NaN NaN NaN NaT NaN 52 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
II COMPREHENSIVE INCOME OR LOSS FOR THE CURRENT PERIOD (ADP 3252) NaN NaN NaN NaT NaN 53 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 7088875.55 7088875.55 0 7088875.55
III TRANSACTIONS WITH OWNERS IN THE CURRENT PERIOD RECOGNISED DIRECTLY IN EQUITY (ADP 42 to 50) NaN NaN NaN NaT NaN 54 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0

Notes

NOTES TO FINANCIAL STATEMENTS - TFI (drawn up for quarterly reporting periods) Name of the issuer: _______________________________________________________ Personal identification number (OIB): ________________________________________________________ Reporting period: _____________________________________________ Notes to financial statements for quarterly periods include: a) explanation of business events relevant to understanding changes in the statement of financial position and financial performance for the reporting semi-annual period of the issuer with respect to the last business year: information is provided regarding these events and relevant information published in the last annual financial statement is updated (items 15 to 15C IAS 34 - Interim financial reporting) b) information on the access to the latest annual financial statements, for the purpose of understanding information published in the notes to financial statements drawn up for the semi-annual reporting period c) a statement explaining that the same accounting policies are applied while drawing up financial statements for the semi-annual reporting period as in the latest annual financial statements or, in the case where the accounting policies have changed, a description of the nature and effect of the changes (item 16.A (a) IAS 34 - Interim financial reporting) d) a description of the financial performance in the case of the issuer whose business is seasonal (items 37 and 38 IAS 34 - Interim financial reporting) e) other comments prescribed by IAS 34 - Interim financial reporting f) in the notes to quarterly periods financial statements, in addition to the information stated above, information in respect of the following matters shall be disclosed: 1. undertaking’s name, registered office (address), legal form, country of establishment, entity’s registration number and, if applicable, the indication whether the undertaking is undergoing liquidation, bankruptcy proceedings, shortened termination proceedings or extraordinary administration 2. adopted accounting policies (only an indication of whether there has been a change from the previous period) 3. the total amount of any financial commitments, guarantees or contingencies that are not included in the balance sheet, and an indication of the nature and form of any valuable security which has been provided; any commitments concerning pensions of the undertaking within the group or company linked by virtue of participating interest shall be disclosed separately 4. the amount and nature of individual items of income or expenditure which are of exceptional size or incidence 5. amounts owed by the undertaking and falling due after more than five years, as well as the total debts of the undertaking covered by valuable security furnished by the undertaking, specifying the type and form of security 6. average number of employees during the financial year 7. where, in accordance with the regulations, the undertaking capitalised on the cost of salaries in part or in full, information on the amount of the total cost of employees during the year broken down into the amount directly debiting the costs of the period and the amount capitalised on the value of the assets during the period, showing separately the total amount of net salaries and the amount of taxes, contributions from salaries and contributions on salaries 8. where a provision for deferred tax is recognised in the balance sheet, the deferred tax balances at the end of the financial year, and the movement in those balances during the financial year 9. the name and registered office of each of the undertakings in which the undertaking, either itself or through a person acting in their own name but on the undertaking's behalf, holds a participating interest, showing the proportion of the capital held, the amount of capital and reserves, and the profit or loss for the latest financial year of the undertaking concerned for which financial statements have been adopted; the information concerning capital and reserves and the profit or loss may be omitted where the undertaking concerned does not publish its balance sheet and is not controlled by another undertaking 10. the number and the nominal value or, in the absence of a nominal value, the accounting par value of the shares subscribed during the financial year within the limits of the authorised capital 11. the existence of any participation certificates, convertible debentures, warrants, options or similar securities or rights, with an indication of their number and the rights they confer 12. the name, registered office and legal form of each of the undertakings of which the undertaking is a member having unlimited liability 13. the name and registered office of the undertaking which draws up the consolidated financial statements of the largest group of undertakings of which the undertaking forms part as a controlled group member 14. the name and registered office of the undertaking which draws up the consolidated financial statements of the smallest group of undertakings of which the undertaking forms part as a controlled group member and which is also included in the group of undertakings referred to in point 13 15. the place where copies of the consolidated financial statements referred to in points 13 and 14 may be obtained, provided that they are available 16. the nature and business purpose of the undertaking's arrangements that are not included in the balance sheet and the financial impact on the undertaking of those arrangements, provided that the risks or benefits arising from such arrangements are material and in so far as the disclosure of such risks or benefits is necessary for the purposes of assessing the financial position of the undertaking 17. the nature and the financial effect of material events arising after the balance sheet date which are not reflected in the profit and loss account or balance sheet Name of the issuer: PODRAVKA prehrambena industrija d.d., Ante Starčevića 32, KOPRIVNICA Personal identification number (OIB): 18928523252 Reporting period: 1 January 2026 – 31 March 2026 a) The financial statements have been prepared in accordance with International Financial Reporting Standards as adopted by the European Union. The financial statements have been prepared on the historical cost basis, except where stated otherwise. The financial statements have been prepared on the going concern basis and require the use of estimates and judgments in applying accounting policies. The financial statements are prepared in consistence with comparative information. All significant accounting policies applied in the preparation of the financial statements have been disclosed in the audited annual financial statements. The condensed financial statements have been prepared in accordance with International Accounting Standard 34 – Interim Financial Reporting. The condensed financial statements do not contain all the information and disclosures required for the annual financial statements and should be read together with the latest published annual financial statements available on the Issuer’s website www.podravka.hr. Explanations of business events that are significant for understanding the changes in the statement of financial position and business results for the reporting quarterly period of the issuer compared to the last business year are given in the pdf document (Podravka Inc. business results for January - March 2026 period - unaudited), which are simultaneously with this document published on the websites of the stock exchange, HANFA and the Issuer. b) The notes to the financial statements are provided with the audited annual financial statements of the Company. The audited annual financial statements are available on the website www.podravka.hr. c) The same accounting policies and methods are applied in preparing the financial statements for the quarterly reporting period as in the latest annual financial statements. d) The Company does not perform activities of a seasonal nature. e) Other disclosures required under IAS 34 – Interim Financial Reporting are as follows: Right of use assets are stated within non-current tangible assets by type of asset, while lease liabilities are stated within long-term and short-term liabilities. Interest receivable on loans given within the group are stated within the item receivables from undertakings within the group and as at 31 March 2026 amount to EUR 499 thousand (2025: EUR 537 thousand). Interest liabilities on loans received are stated within other short term liabilities and as at 31 March 2026 amount of EUR 1,694 thousand (2025: EUR 1,964 thousand). The short-term portion of provisions is reported under the item deferred expenses and accrued income and as at 31 March 2026 amount to EUR 3,186 thousand (2025: EUR 3,482 thousand). In the period Jan - Mar 2026, the Company realised income from the sale of goods and services from related parties in the amount of EUR 37,927 thousand (Jan - Mar 2025: EUR 35,909 thousand). Staff costs in the Jan - Mar 2026 period amount to EUR 22,071 thousand (Jan - Mar 2025: EUR 21,317 thousand), of which net salaries amount to EUR 12,120 thousand (Jan - Mar 2025: EUR 11,936 thousand), other staff costs (mostly related to non-taxable material receipts) amount to EUR 2,644 thousand (Jan - Mar 2025: EUR 2,359 thousand), taxes and contributions from salaries amount to EUR 4,690 thousand (Jan - Mar 2025: EUR 4,506 thousand) and contributions on salaries amount to EUR 2,617 thousand (Jan - Mar 2025: EUR 2,516 thousand). Within the TFI-POD form, related party transactions are shown in the lines containing "within the group". Quarterly financial statements are financial statements of the ultimate parent company, and are available on the Issuer’s website www.podravka.hr. f) In addition to the above information, the following information is disclosed in the notes to the quarterly financial statements: 1. Name of the Issuer: PODRAVKA prehrambena industrija d.d., Ante Starčevića 32, KOPRIVNICA Legal form: joint-stock company Country of registration: Republic of Croatia Entity’s registration number (MBS): 010006549 Personal identification number (OIB): 18928523252 2. During 2026, accounting policies did not change. 3. The Company has contingent liabilities under guarantees and warranties given not recognized in the statement of financial position. As at 31 March 2026, guarantees and warranties given amounted to EUR 28,274 thousand (2025: EUR 24,275 thousand). According to the assessment of the Company’s Management Board as at 31 March 2026 there is no significant probability of the occurrence of these liabilities for the Company. On 31 March 2026 off-balance sheet items amount to EUR 32,806 thousand (2025: EUR 28,965 thousand). 4. In the period Jan - Mar 2026, there were no income or expense items of exceptional size or occurence. 5. The Company’s debt maturing after more than 5 years relates to lease liabilities in the amount of EUR 3,266 thousand (2025: EUR 3,354 thousand). At 31 March 2026 the Company has no pledged buildings, land and equipment for credit obligations (2025: EUR 0 thousand). 6. The average number of employees in the Company in the period Jan - Mar 2026 was 3,308 employees (Jan - Mar 2025: 3,395 employees). 7. There was no capitalisation of salaries in 2026. 8. Balance of deferred tax assets as at 31 March 2026 amounts to EUR 18,724 thousand (2025: EUR 20,303 thousand). During 2026 deferred tax assets have decreased by EUR 1,579 thousand (during 2025: decrease of EUR 3,139 thousand), which is mostly related to decrease of deferred tax assets based on tax benefit for investment in the amount of EUR 1,572 thousand. 9. The Company has no participating interests. 10. The Company has a subscribed share capital consisting of 7,120,003 shares with a nominal value of EUR 30.00. During 2026, there were no changes in the subscribed share capital. 11. The Company granted options in previous years to purchase shares of Podravka Inc. to management. The exercise price of the approved option is equal to the weighted average price of Podravka Inc. share realized on the Zagreb Stock Exchange in the year in which the option was granted. As at 31 March 2026, the number of remaining options granted is 15,000 (2025: 15,000). At the Company level, there are long-term plans to allocate shares to the Company's key management for the period from 2025 to 2026. In period Jan - Mar 2026 there were no used shares (2025: 6,683 shares). 12. The Company has no interests in unlimited liability companies. 13., 14. and 15. The Issuer is the parent company of the largest Group. Podravka prehrambena industrija d.d., Ante Starčevića 32, Koprivnica prepares the quarterly consolidated financial statements of the largest Group, available on the Issuer’s website. 16. The company has no material arrangements with companies that are not included in the financial statements as of 31 March 2026. 17. There are no significant events that occurred after the balance sheet date and are not reflected in the income statement or balance sheet. Detailed information on financial statements and business performance of Company are available in PDF document "Podravka Inc. business results for January - March 2026 period - unaudited" which has been simultaneously published with this document on HANFA, Zagreb Stock Exchange and Issuers web pages.