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2020-07-24

Consti Plc Half-Year Financial Report for January – June 2020

CONSTI PLC HALF-YEAR FINANCIAL REPORT 24 JULY 2020, at 8.30 a.m.

Consti Plc Half-Year Financial Report for January – June 2020

PROFITABILITY AND CASH FLOW IMPROVED                                           

4–6/2020 highlights (comparison figures in parenthesis 4–6/2019):
- Net sales EUR 69.3 (81.2) million; change -14.7%
- EBITDA EUR 3.2 (1.0) million and EBITDA margin 4.6% (1.3%)
- Operating profit (EBIT) EUR 2.4 (0.1) million and operating profit margin 3.4% (0.1%)
- Order backlog EUR 211.8 (226.8) million; change -6.6 %
- Free cash flow EUR 8.1 (2.7) million
- Earnings per share EUR 0.21 (-0.04)

1–6/2020 highlights (comparison figures in parenthesis 1–6/2019):
- Net sales EUR 128.3 (154.7) million; change -17.0%
- EBITDA EUR 4.5 (1.5) million and EBITDA margin 3.5% (1.0%)
- Operating profit/loss (EBIT) EUR 2.8 (-0.3) million and operating profit/loss margin 2.2% (-0.2%)
- Free cash flow EUR 10.1 (-0.7) million
- Earnings per share EUR 0.22 (-0.11)
                       
Guidance on the Group outlook for 2020:
The Company estimates that its operating result for 2020 will improve compared to 2019.

KEY FIGURES (EUR 1,000)4-6/
2020
4-6/
2019
Change %1-6/
2020
1-6/
2019
Change %1-12/
2019
Net sales69,30681,225-14.7 %128,346154,705-17.0 %314,801
EBITDA3,1811,030208.9 %4,4621,515194.4 %8,137
EBITDA margin, %4.6 %1.3 % 3.5 %1.0 % 2.6 %
Operating profit/loss (EBIT)2,3681201877.1 %2,830-278 4,632
Operating profit/loss (EBIT) margin, %3.4 %0.1 % 2.2 %-0.2 % 1.5 %
Profit/loss for the period1,711-205 1,839-691 2,676
Order backlog   211,838226,765-6.6 %185,820
Free cash flow8,1072,748195.0 %10,093-728 3,977
Cash conversion, %254.8 %266.9 % 
Författare Consti Oyj

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