Interim consolidated financial statements of the Repower Group

CONSOLIDATED INCOME STATEMENT

 

01.01.-30.06.2022

01.01.-30.06.2021

CHF thousand

unaudited

unaudited

 

 

 

Net sales from goods and services

2,186,354

1,264,434

Own costs capitalised

4,582

4,064

Change in inventory of sales orders

491

941

Other operating income

8,603

23,797

Total operating revenue

2,200,030

1,293,236

 

 

 

Energy procurement

–2,019,668

–1,110,468

Concession fees

–8,489

–8,534

Personnel expenses

–38,077

–36,219

Materials and third party services

–26,125

–27,716

Other operating expenses

–30,464

–23,412

Share of earnings from associates and joint ventures

316

–355

Earnings before interest, taxes, depreciation and amortisation (EBITDA)

77,523

86,532

 

 

 

Depreciation and value adjustments of tangible assets

–25,277

–25,252

Amortisation and value adjustments of intangible assets

–2,110

–1,728

Earnings before interest and taxes (EBIT)

50,136

59,552

 

 

 

Financial income

7,335

4,716

Financial expenses

–15,431

–12,273

Earnings before taxes

42,040

51,995

 

 

 

Income taxes

–8,633

–9,639

 

 

 

Group earnings

33,407

42,356

 

 

 

Share of group earnings attributable to Repower shareholders

29,169

41,010

Share of group earnings attributable to minorities

4,238

1,346

 

 

 

Share of group earnings attributable to Repower shareholders per registered share (in CHF) *

3.95

5.55

Average number of registered shares in circulation

7,390,807

7,390,793

* There are no factors resulting in a dilution of earnings per share.

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