CROS : Financial reports

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ADPCaption2026-03
cons.
2025-12
cons.
2025-09
cons.
2025-06
cons.
2025-03
cons.
2024-12
cons.
2024-09
cons.
>>
2024-06
cons.
1I. CASH FLOW FROM OPERATING ACTIVITIES (ADP 2+18+35+36+37) 1,853,55077,651,620
21. Cash flow before changes in operating assets and liabilities (ADP 3+4) 18,250,76949,427,215
31.1. Profit/loss of the accounting period 18,202,21965,456,818
41.2. Adjustments (ADP 5+6+...+17) 48,550-16,029,603
51.2.1. Depreciation of property and equipment 3,177,73911,934,364
61.2.2. Amortization of intangible assets 1,126,0014,503,911
71.2.3. Loss from impairment of intangible assets 00
81.2.4. Other financial cost 00
91.2.5. Impairment and gains/losses on fair valuation -431,649-1,941,365
101.2.6. Interest expenses 438,2922,010,171
111.2.7. Interest income -7,346,774-31,688,927
121.2.8. Profit from the sale of branch 00
131.2.9. Share in profit of associates -424,355-1,480,470
141.2.10. Equity-settled share-based payment transactions 00
151.2.11. Cost of income tax 3,811,37712,176,375
161.2.12. Profit/loss from the sale of tangible assets (including land and buildings) 26,468-225,108
171.2.13. Other adjustments -328,549-11,318,554
182. Increase/decrease in operating assets and liabilities (ADP 19+20+...+34) -26,690,464-6,901,122
192.1. Increase/decrease in financial assets at fair value through other comprehensive income -40,781,992-3,363,160
202.2. Increase/decrease in financial assets at fair value through statement of profit or loss -41,939,714-33,541,348
212.3. Increase/decrease in financial assets at amortised cost 58,961,07913,399,071
222.4. Increase/decrease in assets/liabilities from insurance contracts 8,166,23844,271,537
232.5. Increase/decrease in assets/liabilities from reinsurance contracts 4,278,987-16,238,532
242.6. Increase/decrease in tax assets 1,345,2122,056,691
252.7. Increase/decrease in receivables 00
262.8. Increase/decrease in investments in real estate -2,383,934-17,976,148
272.9. Increase/decrease in property for own use 00
282.10. Increase/decrease in other assets -5,057,370-1,136,959
292.11. Increase/decrease in liabilities from investment contracts 00
302.12. Increase/decrease in other provisions -547,161616,714
312.13. Increase/decrease in tax liabilities -1,764,351-2,882,359
322.14. Increase/decrease in financial liabilities 1,890,731-1,897,984
332.15. Increase/decrease in other liabilities -6,812,3658,851,528
342.16. Increase/decrease in accruals and deferred income -2,045,824939,827
353. Income tax paid -660,620-5,730,834
364. Interest received 9,751,93928,597,549
375. Dividend received 1,201,92612,258,812
38II. CASH FLOW FROM INVESTING ACTIVITIES (ADP 39+40+...+45) -2,206,406-19,835,327
391. Cash receipts from the sale of tangible assets 60,601706,018
402. Cash payments for the purchase of tangible assets -896,841-13,151,075
413. Cash receipts from the sale of intangible assets -7,2820
424. Cash payments for the purchase of intangible assets -1,362,884-6,935,634
435. Cash receipts from the sale of branches, associates and joint ventures 00
446. Cash payments for the purchase of branches, associates and joint ventures 0-454,636
457. Cash receipts and payments based on other investing activities 00
46III. CASH FLOW FROM FINANCING ACTIVITIES (ADP 47+48+...+57) -1,591,008-50,213,443
471. Cash receipts resulting from the increase of initial capital 00
482. Cash receipts from issuing redeemable preference shares 00
493. Cash receipts from short-term and long-term loans received 0490,840
504. Cash receipts from sales of own shares 00
515. Cash receipts from exercise of share options 00
526. Cash payments relating to redeemable preference shares 00
537. Cash payments for the repayment of short-term and long-term loans received -107,030-340,614
548. Cash payments for the redemption of own shares 00
559. Cash payments for interest -13,059-57,100
5610. Cash payments for dividend 0-45,822,751
5711. Cash payments for rental obligations -1,470,919-4,483,818
58IV. NET CASH FLOW (ADP 1+38+46) -1,943,8647,602,850
59V. EFFECT OF EXCHANGE RATE FLUCTUATIONS ON CASH AND CASH EQUIVALENTS 8,890-32,131
60VI. NET INCREASE/DECREASE OF CASH AND CASH EQUIVALENTS (ADP 58+59) -1,934,9747,570,719
611. Cash and cash equivalents at the beginning of period 16,347,5758,776,856
622. Cash and cash equivalents at the end of period (ADP 60+61) 14,412,60116,347,575

The data in the financial report are in euros.
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