Annual Report • Apr 25, 2025
Annual Report
Open in ViewerOpens in native device viewer
| 2024 € |
2023 € |
|
|---|---|---|
| Income | 145.413 | 115.834 |
| Net profit from sales of financial assets | 117.428 | 156.305 |
| Net profit of fair value in financial assets at fair value through | ||
| profit and loss | 46.313 | 113.678 |
| Special defence contribution interest | (23.650) | (13.622) |
| Portfolio commissions and remuneration | (36.973) | (18.950) |
| Gross profit | 248.531 | 353.245 |
| Profit from implementation of IFRS16 | 75.775 | 17.145 |
| Administrative expenses | (90.152) | (97.037) |
| Net profit on impairment of assets and contractual assets | 11.973 | 20.497 |
| Other expenses | (24) | (127.753) |
| Profit from operations | 246.103 | 166.097 |
| Finance income | 1.969 | 123 |
| Finance expenses | (33.817) | (19.780) |
| Profit before taxation | 214.255 | 146.440 |
| Taxation | (1.626) | (1.715) |
| Net profit for the year | 212.629 | 144.725 |
| Other total income | - | - |
| Total income for the year | 212.629 | 144.725 |
| Earnings per share attributed to holding company | ||
| shareholders (cents) | 1.58 | 1.07 |
| 2024 | 2023 | |
|---|---|---|
| € | € | |
| ASSETS | ||
| NON CURRENT ASSETS | ||
| Property, plant and equipment | 30.094 | 33.921 |
| Assets with right of use | 50.618 | 75.576 |
| Property investment | 2.104.310 | 2.045.100 |
| Intangible assets | 419 | 2.998 |
| 2.185.441 | 2.157.595 | |
| CURRENT ASSETS | ||
| Balances receivable from brokers | - | 1.033 |
| Trade and other receivables | 7.324 | 4.444 |
| Financial assets at fair value through profit and loss | 734.676 | 1.285.115 |
| Cash and cash equivalents | 281.475 | 4.341 |
| 1.023.475 | 1.294.933 | |
| TOTAL ASSETS | 3.208.916 | 3.452.528 |
| EQUITY AND LIABILITIES | ||
| EQUITY | ||
| Share capital | 2.289.534 | 2.289.534 |
| Share premium account reserve | 110.893 | 110.893 |
| Capital reserve | 9.677 | 9.677 |
| Accumulated profits / (losses) | 24.377 | (188.292) |
| Total equity | 2.434.441 | 2.221.811 |
| NON-CURRENT LIABILITIES | ||
| Borrowing | 185.962 | 223.730 |
| Lease liabilities | 37.344 | 71.845 |
| Deferred tax liabilities | 31.861 | 43.834 |
| 255.167 | 339.409 | |
| CURRENT LIABILITIES Trade and other creditors |
427.688 | 803.276 |
| Deferred income | - | 391 |
| Borrowing | 53.106 | 50.569 |
| Lease liabilities | 11.138 | 15.230 |
| Current tax liabilities | 27.376 | 21.841 |
| 519.308 | 891.307 | |
| Total liabilities | 774.475 | 1.230.716 |
| TOTAL EQUITY AND LIABILITIES | 3.208.916 | 3.452.528 |
| Share capital | Share premium account reserve |
Capital reserve |
Accumulated profits/ (losses) |
Total | |
|---|---|---|---|---|---|
| € | € | € | € | € | |
| Balance as at 1 January | |||||
| 2023 | 2.289.534 | 110.893 | 9.677 | (330.017) | 2.077.087 |
| Net profit for the year | - | - | - | 144.725 | 144.725 |
| Balance as at 31 | |||||
| December 2023 / 1 January 2024 |
2.289.534 | 110.893 | 9.677 | (188.292) | 2.221.812 |
| Net profit for the year | - | - | - | 212.629 | 212.629 |
| Balance as at 31 December 2024 |
2.289.534 | 110.893 | 9.677 | 24.337 | 2.434.441 |
| 2024 € |
2023 € |
|
|---|---|---|
| Cash flow from operations Profit before taxation |
214.255 | 146.440 |
| Adjustments for: | ||
| Depreciation of property, plant and equipment | 1.500 | 16.253 |
| Depreciation of assets with right of use | 14.982 | - |
| Unrealised exchange profit | - | (3.307) |
| Depreciation of computer programmes | 2.578 | 2.578 |
| (Profits)/losses of fair values in investment property | (59.210) | 120.000 |
| Profits of fair values in financial assets at fair value through profit | ||
| and loss | (46.313) | (113.678) |
| Profit from reversal of deferred tax | (11.973) | (20.497) |
| Debit interest | 33.545 | 19.127 |
| Dividends receivable | (73.138) | (39.385) |
| IFRS16 adjustment Gain on sale of financial assets |
(15.765) (117.248) |
7.486 - |
| (56.787) | 135.017 | |
| Changes in working capital: | ||
| (Increase)/decrease in trade and other receivables | (2.880) | 6.066 |
| Decrease/(increase) in balances with brokers | 1.033 | (1.033) |
| Decrease/(increase) in financial assets at fair value through profit and loss |
596.752 | (278.165) |
| (Decrease)/increase in trade and other creditors | (387.561) | 391.399 |
| (Decrease)/increase in deferred income | (390) | 391 |
| Cash from operations | 150.167 | 253.675 |
| Cash flow from investing activities | ||
| Payments for purchase of financial assets at fair value through | ||
| profit and loss | (3.498.663) | (1.631.257) |
| Proceeds from sale of financial assets | 3.616.012 | 1.743.772 |
| Dividends received | 73.138 | - |
| 190.487 | 112.515 | |
| Net cash from investing activities | 190.487 | 112.515 |
| Cash flow from financing activities | ||
| Loan and interest repayments | (51.520) | (50.569) |
| Repayments of lease liabilities | (12.000) | (15.749) |
| Other inflows | - | 8.138 |
| Net cash for financing activities | (63.520) | (58.180) |
| Net increase in cash and cash equivalents | 277.134 | 308.010 |
| Cash and cash equivalents at beginning of year | 4.341 | (303.669) |
| Cash and cash equivalents at end of year | 281.475 | 4.341 |
Have a question? We'll get back to you promptly.