Total Assets
+1.06%788.70M
+12.73%764.45M
-84.68%780.46M
+0.97%678.11M
+8.65%5.09B
-85.03%671.60M
+10.88%4.69B
+8.34%4.49B
+19.21%4.23B
+242.18%4.14B
--3.55B
+41.90%1.21B
--1.14B
+80.48%852.79M
--472.50M
Total Current Assets
-11.84%492.53M
+1.86%500.83M
-85.81%558.70M
-6.36%491.67M
+3.25%3.94B
-86.44%525.07M
+3.57%3.81B
+3.68%3.87B
+12.52%3.68B
+271.94%3.73B
--3.27B
+53.10%1.00B
--941.59M
+75.85%655.58M
--372.81M
Cash and Equivalents
+39.73%172.53M
-44.21%126.71M
-86.99%123.47M
-40.19%227.10M
-68.66%949.22M
-89.59%379.73M
-13.97%3.03B
+0.62%3.65B
+11.22%3.52B
+313.29%3.63B
--3.16B
+73.88%877.58M
--482.06M
+133.64%504.70M
--216.02M
Fixed Deposit - Current Assets
-9.30%200.21M
+131.35%258.99M
-88.14%220.74M
--111.95M
+267.94%1.86B
----
--505.81M
----
----
----
----
----
----
----
----
Accounts Receivable
+4.69%56.34M
+50.37%54.71M
-84.64%53.81M
+40.06%36.38M
+116.68%350.37M
-76.01%25.98M
+56.33%161.70M
+38.79%108.27M
+34.20%103.44M
-23.29%78.01M
--77.08M
+3.96%101.69M
--143.04M
-8.94%97.82M
--107.42M
Related Party Payments Receivable
----
----
----
----
----
----
----
----
----
----
----
-85.04%4.52M
--31.22M
+9.10%30.24M
--27.71M
Financial Assets at Fair Value-Non-Current Assets
-70.43%42.39M
-56.09%42.93M
-78.01%143.34M
-7.67%97.78M
--651.82M
--105.90M
----
----
----
----
----
----
--270.76M
----
----
Inventory
+19.38%20.57M
-7.54%16.98M
-86.07%17.23M
+36.46%18.36M
+6.12%123.68M
-88.11%13.45M
+103.06%116.55M
+300.61%113.16M
+97.05%57.40M
+41.84%28.25M
--29.13M
-12.76%19.91M
--14.51M
+5.37%22.83M
--21.66M
Secured Deposit
+347.71%488.00K
+415.15%510.00K
--109.00K
--99.00K
----
----
----
----
----
----
----
----
----
----
----
Total Non-Current Assets
+33.55%296.17M
+41.40%263.62M
-80.85%221.76M
+27.23%186.44M
+32.15%1.16B
-76.19%146.53M
+59.96%876.52M
+50.98%615.41M
+98.34%547.96M
+97.45%407.60M
--276.28M
+4.67%206.43M
--194.54M
+97.83%197.21M
--99.69M
Property, Plant and Equipment
+35.92%110.51M
+25.85%94.76M
-83.47%81.31M
+24.36%75.30M
+28.14%491.78M
-82.57%60.55M
+16.24%383.79M
+39.87%347.31M
+97.72%330.16M
+135.81%248.31M
--166.98M
+24.85%105.30M
--88.46M
+53.21%84.34M
--55.05M
Financial Assets at Fair Value-Non-Current Assets
+23.36%46.17M
+10.07%42.51M
-85.92%37.42M
+8.67%38.62M
+101.82%265.77M
-70.69%35.53M
+88.31%131.69M
--121.23M
--69.93M
----
----
----
----
----
----
Non-Current Accounts Receivables
----
----
----
----
----
----
--61.74M
----
----
----
----
----
----
----
----
Advance Payment
----
----
----
----
----
----
+2.99%19.89M
----
+120.97%19.31M
+4699.35%36.67M
--8.74M
-54.82%764.00K
--3.69M
-74.29%1.69M
--6.58M
Intangible Assets
-6.88%17.94M
+2.07%18.75M
-86.32%19.26M
-18.52%18.37M
-9.84%140.81M
+39.09%22.54M
+1203.77%156.17M
+95.15%16.21M
+86.95%11.98M
+34.20%8.30M
--6.41M
-33.68%6.19M
--6.63M
-31.86%9.33M
--13.69M
Fixed Deposit - Non-Current Assets
+151.24%67.62M
+313.00%59.25M
--26.91M
--14.35M
----
----
----
----
----
----
----
----
----
----
----
Deferred Tax Assets
+43.46%13.43M
+1.99%7.64M
-82.52%9.36M
+40.57%7.49M
+108.25%53.53M
-72.10%5.33M
+4.91%25.71M
+36.01%19.10M
+293.94%24.50M
+46.68%14.04M
--6.22M
+29.73%9.57M
--9.08M
+63.94%7.38M
--4.50M
Special Items of Non-Current Assets
-17.46%24.06M
+65.20%23.80M
-65.91%29.15M
+68.06%14.40M
+356.94%85.49M
-71.04%8.57M
+28.50%18.71M
+102.30%29.60M
-6.90%14.56M
+5.65%14.63M
--15.64M
+1.22%13.85M
--13.56M
+297.93%13.68M
--3.44M
Total Liabilities
+25.27%373.50M
+31.54%260.29M
-83.49%298.16M
+3.88%197.87M
+43.29%1.81B
-78.45%190.47M
+42.48%1.26B
+7.01%884.01M
+22.69%884.50M
+15.95%826.11M
--720.93M
+27.36%712.47M
--701.33M
+81.07%559.41M
--308.95M
Total Current Liabilities
+29.39%260.15M
+31.25%168.12M
-85.09%201.06M
+3.20%128.09M
+62.36%1.35B
-84.12%124.12M
+12.01%830.70M
+11.89%781.49M
+11.66%741.62M
+3.37%698.47M
--664.18M
+43.44%675.72M
--605.14M
+89.07%471.07M
--249.16M
Accounts Payable
+75.32%102.32M
+30.32%82.67M
-89.75%58.36M
+19.74%63.43M
+29.96%569.55M
-85.51%52.98M
+12.75%438.24M
+22.20%365.61M
+39.38%388.68M
+25.40%299.19M
--278.87M
+15.89%238.59M
--278.76M
+60.03%205.88M
--128.65M
Tax Payable
+4.95%2.25M
+139.45%2.28M
-88.21%2.14M
-72.59%953.00K
-4.63%18.18M
-91.44%3.48M
-31.45%19.06M
+229.99%40.62M
+32.18%27.81M
-44.74%12.31M
--21.04M
+53.66%22.27M
--37.87M
+864.47%14.50M
--1.50M
Amounts Payable to Associated Parties - Current Liabilities
----
----
----
----
----
----
----
----
----
----
----
+216.63%5.94M
--1.79M
+5.69%1.88M
--1.78M
Bank Loans and Overdrafts
-9.45%70.98M
-37.80%1.78M
-75.50%78.38M
+82.86%2.86M
+4023.44%319.94M
--1.56M
--7.76M
----
----
----
----
----
----
----
----
Financial Lease Liabilities-Current Liabilities
-14.36%4.57M
+22.13%5.10M
-82.00%5.34M
+68.18%4.18M
+105.94%29.64M
-81.40%2.48M
+13.92%14.39M
-9.48%13.35M
+43.70%12.63M
+70.94%14.74M
--8.79M
-9.37%8.63M
--9.33M
+19.04%9.52M
--8.00M
Deferred Income-Current Liabilities
----
----
----
----
----
----
+0.61%1.81M
+54.27%2.26M
+199.00%1.79M
+143.83%1.46M
--600.00K
+48.15%600.00K
--587.00K
+393.90%405.00K
--82.00K
Total Non-Current Liabilities
+16.74%113.35M
+32.08%92.16M
-78.75%97.10M
+5.16%69.78M
+6.39%456.98M
-35.28%66.35M
+200.62%429.54M
-19.68%102.52M
+151.78%142.89M
+247.36%127.64M
--56.75M
-58.40%36.75M
--96.19M
+47.74%88.34M
--59.79M
Long-Term Bank Loan
-33.21%529.00K
+51.23%738.00K
-80.65%792.00K
-44.92%488.00K
-53.91%4.09M
--886.00K
--8.88M
----
----
----
----
----
----
----
----
Financial Lease Liabilities-Non-Current
+29.90%8.39M
+24.82%8.69M
-84.43%6.46M
+62.44%6.96M
+243.32%41.45M
-71.17%4.28M
+10.35%12.07M
-4.41%14.86M
+40.92%10.94M
+180.41%15.54M
--7.76M
-58.49%5.54M
--6.91M
+51.09%13.35M
--8.84M
Payments Payable to Related Parties-Non-Current
----
----
----
----
----
----
----
----
----
----
----
----
--4.42M
+0.00%4.42M
--4.42M
Deferred Tax Liability
+345.22%11.56M
-8.26%2.34M
-88.59%2.60M
-33.69%2.55M
-23.86%22.74M
+425.24%3.85M
--29.87M
--733.00K
----
----
----
--6.00M
----
----
----
Deferred Income-Non-Current Liabilities
+32.30%5.36M
-8.92%3.86M
-87.45%4.05M
-11.04%4.24M
+2.82%32.26M
-84.73%4.77M
-7.35%31.38M
-2.38%31.21M
+422.59%33.86M
+409.14%31.97M
--6.48M
+22.56%6.28M
--6.52M
+650.22%5.12M
--683.00K
Other Non-Current Liabilities
-6.91%38.56M
-4.08%32.97M
-86.00%41.42M
-19.09%34.37M
--295.80M
--42.48M
----
----
----
----
----
----
----
----
----
Special Items of Non-Current Liabilities
+17.17%48.96M
+105.82%43.57M
-31.09%41.78M
+109.85%21.17M
-82.54%60.64M
-81.90%10.09M
+254.13%347.34M
-30.46%55.72M
+130.74%98.08M
+323.41%80.13M
--42.51M
-71.08%18.92M
--78.35M
+42.72%65.45M
--45.86M
Total Equity
-13.91%415.20M
+4.98%504.16M
-85.33%482.30M
-0.18%480.24M
-4.08%3.29B
-86.64%481.13M
+2.52%3.43B
+8.67%3.60B
+18.32%3.34B
+566.04%3.31B
--2.83B
+69.64%497.67M
--434.80M
+79.38%293.38M
--163.55M
Stockholders' Equity
-13.33%412.06M
+5.32%499.34M
-85.29%475.43M
+0.64%474.10M
-3.77%3.23B
-86.94%471.07M
+0.28%3.36B
+8.67%3.61B
+18.31%3.35B
+561.56%3.32B
--2.83B
+68.69%501.70M
--438.74M
+78.62%297.42M
--166.51M
Share Capital
+0.00%17.00K
+0.00%17.00K
-84.55%17.00K
+0.00%17.00K
+0.00%110.00K
-84.55%17.00K
+0.00%110.00K
+0.00%110.00K
+1.85%110.00K
+13.40%110.00K
--108.00K
--97.00K
--167.81M
----
----
Stock Premium
-31.78%277.72M
-4.39%397.19M
-84.53%407.11M
-5.39%415.43M
-7.28%2.63B
-85.07%439.09M
-3.49%2.84B
-5.65%2.94B
+6.18%2.94B
+540.79%3.12B
--2.77B
--486.57M
----
----
----
Retained Profit
+41.09%128.58M
+32.47%101.33M
-80.89%91.14M
+13.25%76.50M
+3.62%477.02M
-84.22%67.55M
+49.82%460.37M
+83.73%428.06M
+385.93%307.29M
+249.30%232.98M
--63.24M
+49.58%66.70M
--124.15M
+340.63%44.59M
---18.53M
-Other Reserves
+125.15%5.74M
+104.52%807.00K
-118.61%-22.84M
+49.87%-17.84M
+103.11%122.74M
-114.96%-35.58M
-42.23%60.43M
+963.39%237.82M
+1869.35%104.59M
-24.44%-27.55M
--5.31M
-107.19%-22.14M
--201.78M
+28.24%307.82M
--240.03M
Special Items of Shareholders' Rights and Interests
----
----
----
----
----
----
+75.01%-1.10M
+75.01%-1.10M
+46.02%-4.39M
+85.12%-4.39M
---8.14M
+46.31%-29.53M
---54.99M
+0.00%-54.99M
---54.99M
Minority Interests
-54.32%3.14M
-21.52%4.82M
-87.85%6.87M
-38.96%6.14M
-18.96%56.56M
+320.14%10.06M
+1441.62%69.79M
-5.33%-4.57M
-14.15%-5.20M
-7.67%-4.34M
---4.56M
+0.25%-4.03M
---3.94M
-36.54%-4.04M
---2.96M
Deadline
Jun 30, 2026
Dec 31, 2025
Jun 30, 2025
Dec 31, 2024
Jun 30, 2024
Dec 31, 2023
Jun 30, 2023
Dec 31, 2022
Jun 30, 2022
Dec 31, 2021
Jun 30, 2021
Dec 31, 2020
Sep 30, 2020
Dec 31, 2019
Dec 31, 2018
Accounting Standard
IAS
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Audit Opinions
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