SUMMARY OF FINANCIAL DATA

INCOME STATEMENT

Income Statement (in € m)20192020202120222023
Sales575.9462.7592.2402.7453.5
Gross Profit42.653.231.620.936.8
Other Income & Write-Offs-26.2-17.1-15.7-6.5-5.1
Administrative & General Expenses-42.5-33.3-33.8-41.0-31.9
Income from Associates30.821.831.247.432.4
EBITDA58.162.351.058.260.8
Depreciation16.315.317.012.618.3
Financial Results-26.8-24.3-22.3-20.7-20.8
PreTax Earnings-11.27.10.018.516.7
Net Earnings -17.610.52.012.910.0

BALANCE SHEET

Balance Sheet (in € m)20192020202120222023
Fixed Assets (incl. Restricted Deposits)586.3598.5487.1464.3502.0
Inventory19.139.625.821.331.9
Assets for sale404.40.0150.385.165.4
Receivables from Clients404.8489.7419.2419.2526.5
Restricted Deposits (short-term)49.032.713.91.90.5
Cash Equivalent71.150.5100.284.876.5
Total Assets1,534.71,211.01,196.41,076.51,202.8
Long-Term Debt515.4510.7383.2292.6267.5
Other Long-Term Liabilities57.363.655.7184.2232.1
Suppliers & Other Short-Term Liabilities407.4440.5386.5292.1417.6
Short-Term Debt75.7104.1112.490.283.8
Liabilities from Assets for Sale400.70.0148.362.442.1
Shareholder Funds78.392.0110.4154.9159.7
Total Liabilities1,534.71,211.01,196.41,076.51,202.8

CASH FLOW

Cash Flow (in € m)20192020202120222023
Pre Tax Earnings-11.22.9-13.646.317.1
Depreciation16.315.317.012.618.3
Other Operating Cash Flows20.20.9-2.5-66.0-19.3
Change in Working Capital94.5-89.048.9-7.345.2
Operating Cash Flow119.7-69.949.9-14.461.3
Net Movement in Investments-25.0-2.140.5111.2-12.0
Dividend Received45.538.931.746.736.2
Net Investment Cash Flow20.536.772.2157.924.2
Free Cash Flow140.2-33.2122.1143.585.5
Financing Cash Flow-140.6-3.6-89.8-163.4-97.7
Total Cash Flow-0.5-36.832.3-19.9-12.2

KEY FINANCIAL INDICATORS

The following table illustrates some key financial ratios, on a consolidated basis:

Key Financial Indicators20192020202120222023
Debt / Equity18.6112.169.845.956.53
Debt / (Equity + Liabilities)0.950.920.910.860.87
Net Debt / EBITDA7.768.217.485.094.51
Interest Cover (EBITDA / Net Financing Cost)2.162.572.292.812.92
Current Ratio1.131.120.030.030.01
Quick Ratio1.051.051.061.331.23
Gross Profit Margin7.4%11.5%5.3%5.2%8.1%
EBITDA Margin10.1%13.58.6%14.5%13.4%
EBIT Margin2.7%6.8%3.8%9.8%8.3%
Pretax Margin-2.0%1.5%0.0%4.6%3.7%
Net Margin-7.5%1.2%-2.4%9.5%2.3%
(avg) Return on Equity-51.7%6.7%-13.9%28.7%7.7%
(avg) Return on Assets-3.2%0.4%-1.2%3.4%0.9%

Share Capital Changes

The par value of the Company’s paid-up share capital amounts to €44,496,455 and is split into 148,321,516 common registered shares, each with a face value of €0.30.

Besides the par value, the Company’s paid-up equity capital includes share premium reserves amounting to €145,451,670 thereby bringing the total of the Company’s paid up capital to €189,948,125.

The following changes in the Company’s nominal share capital have taken place since incorporation:

Authorising General AssemblyShares issuedPar Value (in drachmas / €)Issue Price (in drachmas / €)Reserves Capitalisation (in drachmas / €)Rights Issue (in drachmas / €)Total Par Value of Share Capital (in drachmas / €)New Total of Shares
Incorporation10,01010,00010,000100,100,000100,100,00010,010
30.06.199290,0901,000100,100,000100,100
01.06.1994394,9001,0001,000394,900,000495,000,000495,000
01.06.19942,805,000150495,000,0003,300,000
01.06.19941,000,0001501,500150,000,000645,000,0004,300,000
16.05.19971,720,0001501,200258,000,000903,000,0006,020,000
25.11.1998180180,600,0001,083,600,0006,020,000
05.08.19999,030,0001801,6001,625,400,0002,709,000,00015,050,000
15.06.20003,010,000180541,800,0003,250,800,00018,060,000
15.06.200018,540,0001801,9003,337,200,0006,588,000,00036,600,000
26.06.2001€0.55€796,177.54€20,130,00036,600,000
31.01.200336,600,000€0.55€20,130,000€40,260,00073,200,000
26.06.2007€0.58€2,196,000€42,456,00073,200,000
23.08.20074,454,850€0.58€7.60€33,856,860€45,039,81377,654,850
03.09.2018€0.30- €21,743,358€23,296,45577,654,850
26.09.201966,666,666€0.30€0.30€20,000,000€43,296,454144,321,516
24.06.20214.000.000€0.30€1.200.000€44.496.454148.321.516
TOTAL148,321,516€0.30€44,496,454

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