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The Cyprus Cement Public Company LTD

Interim / Quarterly Report Sep 16, 2025

2491_ir_2025-09-16_e52a5b79-fe51-4ab4-b57f-ba55a1e36275.pdf

Interim / Quarterly Report

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THE CYPRUS CEMENT PUBLIC COMPANY LIMITED

Interim Condensed Consolidated Financial Statements

For the period from 1 January 2025 to 30 June 2025

Interim condensed consolidated statement of profit or loss and other comprehensive income for the period from 1 January 2025 to 30 June 2025

30 June
2025
Unaudited
€000
30 June
2024
Unaudited
€000
Revenue
Administrative expenses
193
(499)
228
(499)
Operating loss ___
(306)
___
(271)
Share of profit from investments accounted for using
equity method
4.943 2.944
Profit before tax ___
4.637
___
2.673
Tax - -
Profit for the period ___
4.637
=========
___
2.673
=========
Other comprehensive income
Share of reserves of investments accounted for using
equity method
9 27
Total comprehensive income for the period ___
4.646
=========
___
2.700
=========
Profit per share attributable to the shareholders of
the Company (cent per shares):
Basic and fully distributed
3,38 1,95
========= =========

Interim condensed consolidated balance sheet at 30 June 2025

30 June
2025
Unaudited
€000
31 December
2024
Audited
€000
Assets
Non-current assets
Property, plant and equipment 41 46
Investment property 323.933 323.421
Investments accounted for using the equity method 68.869
_____
63.916
_____
392.843
_____
387.383
_____
Current assets
Financial assets at amortised cost 9.487 9.548
Other non-financial assets
Cash and cash equivalents
611
7.190
571
9.201
_____
17.288
_____
19.320
Total assets _____
410.131
_____
406.703
=========== ===========
Equity and liabilities
Capital and reserves
Share capital 50.650 50.650
Own shares (14) -
Fair value reserve
Revenue reserve
107.458
17.236
107.449
17.236
Other reserves (15) (15)
Retained earnings 177.333 175.583
Total equity _____
352.648
_____
350.903
Non-current liabilities _____ _____
Deferred tax liabilities 55.426
_____
55.426
_____
55.426
_____
55.426
_____
Current liabilities
Trade and other payables 247 374
Dividends payable 1.810
_____
-
_____
2.057
_____
374
_____
Total liabilities 57.483 55.800
Total equity and liabilities _____
410.131
_____
406.703
=========== ===========

Interim condensed consolidated statement of changes in equity for the period from 1 January 2025 until 30 June 2025

Attributable to owners of the Company
Share Own Fair value Other Revenue Retained Total
Capital shares reserve reserves Reserve Earnings equity
€000 €000 €000 €000 €000 €000 €000
Six months until 30 June 2025
Balance at 1 January 2025
50.650 - 107.450 17.236 (15) 175.583 350.903
Comprehensive income __ __ __ __ ____ ___ ____
Profit for the period - - - - - 4.637 4.637
Other comprehensive income __ ___ __ __ ____ ___ ____
Share of fair value reserves and other reserves of associated companies - - 9 - - - 9
Total other comprehensive income __ ___ __ __ ____ ___ ____
- - 9 - - - 9
Total comprehensive income for the period __ ___ __ __ ____ ___ ____
- - 9 - - 4.637 4.646
Transactions
with Company's owners
Dividends declared from the profits of 2023
Purchase of own shares
__
-
-
___
-
(14)
__
-
-
__
-
-
____
-
-
___
(2.888)
-
____
(2.888)
(14)
Total transactions __ ___ __ __ ____ ___ ____
with Company's owners - (14) - - - (2.888) (2.902)
Balance at 30 June 2024 __ ___ __ __ ____ ___ ____
(unaudited) 50.650 (14) 107.459 17.236 (15) 177.333 352.648
Six months until 30 June 2024 ========= ========== ========= ========= =========== ========== ============
Balance at 1 January 2024 50.916 (266) 107.421 17.236 (15) 174.236 349.528
Comprehensive income __ ___ __ __ ____ ___ ____
Profit for the period - - - - - 2.673 2.673
Other comprehensive income __ ___ __ __ ____ ___ ____
Share of fair value reserves and other reserves of associated companies - - 27 - - - 27
Total other comprehensive income __ ___ __ __ ____ ___ ____
- - 27 - - - 27
Total comprehensive income for the period __ ___ __ __ ____ ___ ____
- - 27 - - 2.673 2.700
Transactions with Company's owners __ ___ __ __ ____ ___ ____
Dividends declared from the profits of 2022 - - - - - (2.743) (2.743)
Cancellation of own shares (266) 266 - - - - -
Total transactions __ ___ __ __ ____ ___ ____
with Company's owners (266) 266 - - - (2.743) (2.743)
Balance at 30 June 2024 __ ___ __ __ ____ ___ ____
(unaudited) 50.650 - 107.448 17.236 (15) 174.166 349.485
========= ========= ========== ========= =========== ========== ===========

Interim condensed consolidated statement of cash flows for the period from 1 January 2025 until 30 June 2025

30 June
2025
Unaudited
€000
30 June
2024
Unaudited
€000
Cash flows from operating activities
Cash used in operations
(636) (540)
Net cash used in operating activities ____
(636)
____
(540)
____ ____
Cash flows from investing activities
Dividends received
- 13
Loans granted to related companies
Proceeds from the disposal of financial assets at fair value
(880) (1.460)
through profit or loss - 534
Additions of investment property
Interest received
(512)
31
(1.020)
29
Net cash used in investing activities _
(1.361)
_
_
(1.904)
_
Cash flows from financing activities
Purchase of own shares
(14) -
____ ____
Net cash from financing activities (14)
____
-
____
Net decrease in cash and cash equivalents (2.011) (2.444)
Cash and cash equivalents at the beginning of period 9.201 10.158
Cash and cash equivalents at the end of period ____
7.190
____
7.714
========== ==========

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