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Financial Results
and Financial Reports

PPF Group N.V.:

Statement of Financial Position (IFRS)

(EUR million) FY 2022 FY 2021 FY 2020
Cash and cash equivalents 8,500 7,604 6,388
Investment securities (incl. derivatives) 5,592 4,906 3,488
Loans and receivables 8,592 12,567 14,681
Equity-accounted investees 1,482 1,620 897
Investment property 1,632 2,413 1,791
Property, plant and equipment 4,212 4,167 3,789
Intangible assets and goodwill 5,240 5,397 5,639
Assets held for sale 1,606 50 -
Other assets 3,027 3,462 2,985
Total assets 39,883 42,186 39,658
Equity 9,147 9,128 8,517
Interest-bearing liabilities 25,095 28,854 27,145
Liabilities directly associated with assets held for sale 870 - -
Other liabilities 4,771 4,204 3,996
Total liabilities and equity 39,883 42,186 39,658
Source: Audited Consolidated Financial Statements  

PPF Group N.V.:

Income statement (IFRS)

(EUR million) FY 2022 FY 2021 FY 2020
Net interest income 1,282 1,383 2,841
Net fee and commission income  226 178 242
Net insurance income  6 6 21
Net real estate income 7 201 229
Net telecommunications income 2,385 2,248 2,080
Net media income 362 353 109
Net mechanical engineering income 289 238 166
Net toll operations income 16 22 19
Net leisure income 60 12 -
Other operating income 403 250 33
Operating expenses (3,979) (4,580) (6,030)
Profit / (loss) before tax 1,057 311 (290)
Income tax expense (862) (152) (1)
Net profit / (loss) from continuing operations 195 159 (291)
Net profit from discontinued operations, net of tax (55) 115 -
Net profit / (loss) for the period 140 274 (291)
Profit  / (loss) attributable to:
Owners of the Parent 218 239 (249)
Non-controlling interests (78) 35 (42)
Total revenues and other income 9,626 8,053 9,037
Source: Audited Consolidated Financial Statements
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