Semi-annual Report P 2021

Semi-annual Report P 2021

SELECTED FINANCIAL DATA:

 

In thous. EUR
Six months
ended
31 /12/2021
Six months
ended
31/12/20200
Revenue from interest, from the sale of products,
goods and materials
72 80
Profit from operating activitiy 69 73
Profit before tax 69 73
Net cash flow from operating activities -4 -8
Net cash flow from investing activities 0 0
Net cash flows from financing activities 0 0
Change in cash and cash equivalents -4 -8
Total assets* 4788 4744
Short-term liabilities* 1 4
Share capital* 10511 500
Number of shares (in pcs.) 105111804 105111804
Book value per one ordinary share (in EURO) 0,05 0,05

*For balance sheet items marked with an asterisk, the data presented in the second column covers the status as at June 30, 2021.

Attachments:

A person representing the Company:
Damian Patrowicz, Member of the Management Board