CROS : Financial reports

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ADPCaption2024-09
cons.
2024-06
cons.
2024-03
cons.
2023-12
cons. a.
2023-12
cons.
2023-09
cons.
2023-06
cons.
2023-03
cons.
1I. Balance as at 1 January of the previous year 713,225,111713,225,111
21. Change in accounting policies -1,386,255-1,386,255
32. Correction of errors from prior periods 00
4II. Balance as at 1 January of the previous year (restated) 711,838,856711,838,856
5III. Comprehensive income or loss for the previous year 53,637,94753,637,946
61. Profit or loss for the period 58,452,50558,452,505
72. Other comprehensive income or loss for the previous year -4,814,558-4,814,559
82.1. Unrealised gains or losses on tangible assets (land and buildings) 38,68538,685
92.2. Unrealised gains or losses on financial assets at fair value through other comprehensive income 34,845,98134,845,981
102.3. Realised gains or losses on financial assets at fair value through other comprehensive income -236,963-236,963
112.4. Net financial income/expenditure from insurance contracts -40,419,641-40,419,641
122.5. Net financial income/expenditure from (passive) reinsurance contracts 964,155964,154
132.6. Other changes in equity unrelated to owners -6,775-6,775
14IV. Transactions with owners (previous period) -319,301-319,302
151. Increase/decrease in subscribed capital -1,645-1,645
162. Other contributions by owners -307,862-307,862
173. Payment of share in profit/dividend -32,394-32,394
184. Other distribution to owners 22,60022,599
19V. Balance on the last day of the previous year reporting period 765,157,502765,157,500
20VI. Balance as at 1 January of the current year 765,157,502765,157,500
211. Change in accounting policies 00
222. Correction of errors from prior periods 00
23VII. Balance as at 1 January of the current year (restated) 765,157,502765,157,500
24VIII. Comprehensive income or loss for the year 82,607,80056,492,886
251. Profit or loss for the period 46,303,86433,595,132
262. Other comprehensive income or loss for the year 36,303,93622,897,754
272.1. Unrealised gains or losses on tangible assets (land and buildings) 00
282.2. Unrealised gains or losses on financial assets at fair value through other comprehensive income 47,182,31122,540,007
292.3. Realised gains or losses on financial assets at fair value through other comprehensive income 1,415,476902,879
302.4. Net financial income/expenditure from insurance contracts -12,572,778-308,447
312.5. Net financial income/expenditure from (passive) reinsurance contracts 249,411-231,846
322.6. Other changes in equity unrelated to owners 29,516-4,839
33IX. Transactions with owners (current period) -115,186,062-115,166,674
341. Increase/decrease in subscribed capital 00
352. Other contributions by owners -284,824-284,824
363. Payment of share in profit/dividend -114,901,926-114,901,347
374. Other transactions with owners 68819,497
38X. Balance on the last day of the current year reporting period 732,579,240706,483,712

The data in the financial report are in euros.
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