. 33.84 47.71 94.42 93.64 68.69 EBIT -23.43 -94.82 -74.66 40.77 414.31 Net Profit : Owners Of The Parent -16.33 -86.35 -103.77 43.07 405.25 EPS (B.) -0.01 -0.08 -0.09 0.06 0.76 Statement of Cash Flow (MB
. & Amor. 75.03 79.21 155.05 186.30 265.33 EBIT -4.02 79.86 99.36 363.44 227.91 Net Profit : Owners Of The Parent -25.09 44.47 41.60 238.15 130.72 EPS (B.) -0.02 0.04 0.04 0.28 32.68 Statement of Cash Flow
And Expenses 89.43 1,119.49 1,198.28 159.06 51.80 EBITDA 30.52 134.73 102.21 39.56 18.41 Depre. & Amor. 0.44 0.44 0.90 0.91 0.54 EBIT 30.07 134.29 101.31 38.65 17.87 Net Profit : Owners Of The Parent
105.04 Net Profit : Owners Of The Parent 33.68 31.95 46.11 80.83 57.62 EPS (B.) 0.14 0.14 0.19 0.34 0.25 Statement of Cash Flow (MB.) 6M/2022 (01/01/22 -30/06/22) 6M/2021 (01/01/21 -30/06/21) 2021
10.22% Retained earnings – Unappropriated 308.12 319.12 (11.00) (3.45%) Total owners of the Company 1,269.08 1,276.38 (7.29) (0.57%) Non-controlling interests 34.95 36.39 (1.45) (3.97%) Total Shareholders
construction projects that are being completed. In some projects, the owners have delayed in the work area handover which prohibit the work. The construction area handover is expected to commence and the work
Owners of the company 1,351,686 1,326,278 1.92% Non-Controlling Interests 94,397 56,832 66.10% Total Sharesholders' Equity 1,446,083 1,383,110 4.55% The total liabilities of the company as of June 30, 2019
. Delay of purchasing from the projects which have already been awarded by the project owners. This led to decreasing of demand and effected to decreasing in backlog compared to the same period of time in
%) (77.27%) Profit (loss) per share (0.07 ) (0.19 ) 0.12 64.57% - - Attributable to Owners of the Company (59.89 ) (169.04 ) 109.15 64.57% Non-controlling interests - 1. Operating revenue In summary, company
%) (77.27%) Profit (loss) per share (0.07 ) (0.19 ) 0.12 64.57% - - Attributable to Owners of the Company (59.89 ) (169.04 ) 109.15 64.57% Non-controlling interests - 1. Operating revenue In summary, company