Filings/ARCPF/ANNUAL

Source document

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KPIsSections4
Headline metrics
RevenueGREEN€6.3M
Net incomeGREEN-€32,000
Net marginGREEN-0.5%
Operating marginGREEN40.7%
Income Statement
Income Statement
MetricValueFlag
Revenue€6.3MGREEN
Operating Margin40.7%GREEN
Net Margin-0.5%GREEN
Operating Income€2.6MGREEN
Net Income-€32,000GREEN
Income Tax Expense€12,000GREEN
Pre-tax Income-€20,000GREEN
EPS Diluted€-0.01GREEN
Interest Expense€2.6MGREEN
Selling General & Admin Exp€675,000GREEN
Interest and Investment Income€865,000GREEN
Income/(Loss) from Affiliates€80,000GREEN
Other Non Operating Income (Expenses)€882,000GREEN
Basic EPS-€0.01GREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total Assets€73.6MGREEN
Current Assets€23.1MGREEN
Current Liabilities€11.3MGREEN
Total Liabilities€31.1MGREEN
Total Equity€42.5MGREEN
Cash & Equivalents€2.4MGREEN
Long-term Debt€16.8MGREEN
Short-term Debt€5.8MGREEN
Trade Receivables€675,000GREEN
Trade Payables€3.2MGREEN
Inventory€0GREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash Flow€291,000GREEN
Investing Cash Flow€10.0MGREEN
Financing Cash Flow-€10.2MGREEN
Change in Income Taxes-€142,000GREEN
Divestitures€1.6MGREEN
Long Term Debt Issued€2.0MGREEN
Long Term Debt Repaid€4.0MGREEN
Repurchase of Common Stock€2.0MGREEN
Common Dividends Paid€0GREEN
Foreign Exchange Rate Effect-€14,000GREEN
Net Change in Cash€51,000GREEN
Cash Interest Paid€2.3MGREEN

Sections in this filing

Impairment

In € 1,000 31-12-2024 Current Up to 1 to 3 months More than (not past 1 month 3 months to 1 year 1 year due) past due past due past due past due Total Gross monetary assets Derivative financial instruments 127 - - - - 127 Tax assets 30 6 - - - - 6 Trade and other receivables 1,390 230 17 35 245 1,917 Cash and cash equivalents 2,419 - - - - 2,419 3,942 230 17 35 245 4,469 Impairment of monetary assets Derivative financial instruments - - - - - - Tax assets 30 - - - - - - Trade and other receivables 14 5 2 29 236 286 Cash and cash equivalents - - - - - - 14 5 2 29 236 286 Net monetary assets Derivative financial instruments 127 - - - - 127 Tax assets 30 6 - - - - 6 Trade and other receivables 1,376 225 15 6 9 1,631 Cash and cash equivalents 2,419 - - - - 2,419 3,928 225 15 6 9 4,183 30 Exclusive of corporate income tax ( CIT ).