Data source: The Financial Directorate of the Slovak Republic,
updated: 2025-07-12
Financial Statements at 2024-12-31
Document: PDF size 99 KB Download Download

Document: PDF size 433 KB Download Download

Print report: XLSX <200 KB Download
Designation LIABILITIES AND EQUITY Line No. Current accounting period Preceding accounting period
a b c 4 5
TOTAL EQUITY AND LIABILITIES line 80 + line 101 + line 141 79 1 818 915 1 990 815
A. Equity line 81 + line 85 + line 86 + line 87 + line 90 + line 93 + line 97 + line 100 80 321 291 496 415
A.I. Share capital - total (lines 82 to 84) 81 7 500 7 500
A.I.1. Share capital (411 or +/- 491) 82 7 500 7 500
2. Change in share capital +/- 419 83
3. Unpaid share capital (/-/353) 84
A.II. Share premium (412) 85
A.III. Other capital funds (413) 86 19 865 19 865
A.IV. Legal reserve funds line 88 + line 89 87 750 500
A.IV.1. Legal reserve fund and non-distributable fund (417A, 418, 421A, 422) 88 750 500
2. Reserve fund for own shares and own ownership interests (417A, 421A) 89
A.V Other funds created from profit line 91 + line 92 90
A.V.1. Statutory funds (423, 42X) 91
2. Other funds (427, 42X) 92
A.VI. Differences from revaluation - total (lines 94 to 96) 93 12 215
A.VI.1. Differences from revaluation of assets and liabilities (+/- 414) 94
2. Investment revaluation reserves (+/- 415) 95
3. Differences from revaluation in the event of a merger, amalgamation into a separate accounting entity or demerger (+/- 416) 96 12 215
A.VII. Net profit/loss of previous years line 98 + line 99 97 113 047 67 866
A.VII.1. Retained earnings from previous years (428) 98 113 047 67 866
2. Accumulated losses from previous years (/-/429) 99
A.VIII. Net profit/loss for the accounting period after tax /+-/ line 01 - (line 81 + line 85 + line 86 + line 87 + line 90 + line 93 + line 97 + line 101 + line 141) 100 167 914 400 684
B. Liabilities line 102 + line 118 + line 121 + line 122 + line 136 + line 139 + line 140 101 1 493 176 1 491 866
B.I. Non-current liabilities - total (line 103 + lines 107 to 117) 102 21 730 41 239
B.I.1. Non-current trade liabilities - total (lines 104 to 106) 103
1.a. Trade liabilities to affiliated accounting entities (321A, 475A, 476A) 104
1.b. Trade liabilities within participating interest, except for liabilities to affiliated accounting entities (321A, 475A, 476A) 105
1.c. Other trade liabilities (321A, 475A, 476A) 106
2. Net value of contract (316A) 107
3. Other liabilities to affiliated accounting entities (471A, 47XA) 108
4. Other liabilities within participating interest, except for liabilities to affiliated accounting entities (471A, 47XA) 109
5. Other non-current liabilities(479A, 47XA) 110 3 773 17 573
6. Long-term advance payments received (475A) 111
7. Long-term bills of exchange to be paid (478A) 112
8. Bonds issued (473A/-/255A) 113
9. Liabilities related to social fund (472) 114 8 032 9 478
10. Other non-current liabilities (336A, 372A, 474A, 47XA) 115 9 925 14 188
11. Non-current liabilities related to derivative transactions (373A, 377A) 116
12. Deferred tax liability (481A) 117
B.II. Long-term provisions line 119 + line 120 118
B.II.1. Legal provisions (451A) 119
2. Other provisions (459A, 45XA) 120
B.III Long-term bank loans (461A, 46XA) 121 808 098 976 170
B.IV. Current liabilities - total (line 123 + lines 127 to 135) 122 317 745 265 929
B.IV.1. Trade liabilities - total (lines 124 to 126) 123 123 687 91 035
1.a. Trade liabilities to affiliated accounting entities (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 124
1.b. Trade liabilities within participating interest, except for liabilities to affiliated accounting entities (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 125
1.c. Other trade liabilities (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 126 123 687 91 035
2. Net value of contract (316A) 127
3. Other liabilities to affiliated accounting entities (361A, 36XA, 471A, 47XA) 128
4. Other liabilities within participating interest, except for liabilities to affiliated accounting entities (361A, 36XA, 471A, 47XA) 129
5. Liabilities to partners and association (364, 365, 366, 367, 368, 398A, 478A, 479A) 130 52 411
6. Liabilities to employees (331, 333, 33X, 479A) 131 35 823 32 724
7. Liabilities related to social security (336A) 132 23 795 21 075
8. Tax liabilities and subsidies (341, 342, 343, 345, 346, 347, 34X) 133 74 658 112 811
9. Liabilities related to derivative transactions (373A, 377A) 134
10. Other liabilities (372A, 379A, 474A, 475A, 479A, 47XA) 135 7 371 8 284
B.V. Short-term provisions line 137 + line 138 136 177 531 30 182
B.V.1. Legal provisions (323A, 451A) 137 177 531 30 182
2. Other provisions (323A, 32X, 459A, 45XA) 138
B.VI. Current bank loans (221A, 231, 232, 23X, 461A, 46XA) 139 168 072 178 346
B.VII. Short-term financial assistance (241, 249, 24X, 473A /-/255A) 140
C. Accruals/deferrals - total (lines 142 to 145) 141 4 448 2 534
C.1. Accrued expenses - long-term (383A) 142
2. Accrued expenses - short-term (383A) 143
3. Deferred income - long-term (384A) 144
4. Deferred income - short-term (384A) 145 4 448 2 534

May we, please, use cookies?🍪

To ensure the proper functioning of the website and to improve our services, we use cookies. Please confirm your consent or set your preferences.

Necessary cookies
Always active
They ensure the basic usability of the website. The website cannot function properly without these cookies. These cookies do not store any information about you.
Analytical cookies
They help to understand the behavior of website visitors and thereby contribute to a better functionality of this website.