Résultats semestriels 2015

Income Statement 30/06/2015 - 30/06/2014   
Non-audited, consolidated key figures   
 June 30, 2015June 30, 2014Change
(million euro)6M6M 
Revenue150.6121.224.32%
EBIT13.511.913.61%
Cash flow (EBITDA) 116.912.831.33%
Financial result-1.2-0.855.35%
Profit before taxes12.311.110.62%
Taxes-3.0-2.90.10%
Net income continuing operations9.38.214.42%
Result from discontinued operations0.00.04.76%
Net income (Group share in the profit)9.38.114.47%
Net cash flow 213.29.145.03%
    
Balance sheet as of 30/06/2015- 31/12/2014   
Non-audited, consolidated key figures   
 June 30, 2015Dec 31, 2014Change
(million euro)6M12M 
Equity78.470.111.79%
Net financial debt12.7-6.4-298.92%
Assets held for sale0.40.48.50%
Total assets184.5157.716.96%
    
Non-audited, consolidated key figures per share   
 June 30, 2015June 30, 2014Change
(euro)6M6M 
Cash flow from operations (EBITDA) 12.161.6233.33%
Profit before taxes1.571.4012.14%
Profit after taxes continuing operations (EPS)1.191.0315.53%
Net cash flow 21.691.1546.96%
Equity (June 30, 2015 - December 31, 2014)10.028.9711.71%
Number of shares (end of period)7'818'9997'884'297-0.83%
Number of shares (average)7'818'9997'916'852-1.24%

 

1 EBITDA = earnings before interest, taxes, depreciation and amortization; This is operating profit plus depreciation and amounts written off on stocks, trade debtors, impairment losses and provisions for liabilities and charges.
2 The net cash flow is the net income (Group share in the profit) excluding depreciation, amounts written off on stocks, trade debtors, impairment losses and provisions for liabilities and charges.