Dear customer, we are sorry but your browser doesn't support all necessary features for good site view. Please switch to one of the modern browsers (Chrome, Safari, Firefox).

Financial Results
and Financial Reports

PPF Group N.V.:

Statement of Financial Position (IFRS)

(EUR million) FY 2024 FY 2023 FY 2022
Cash and cash equivalents

8,199

8,535 8,726
Investment securities and derivatives

8,445

8,944 5,592
Loans and receivables

8,034

8,650 8,366
Equity-accounted investees

4,679

3,279 1,482
Investment property

1,001

1,219 1,632
Property, plant and equipment

3,462

4,403 4,212
Intangible assets (incl. goodwill)

3,383

5,368 5,240
Assets held for sale

2,199

28 1,606
Other assets

2,320

3,058 3,027
Total assets

41,722

43,484 39,883
Equity

12,465

9,262 9,250
Interest-bearing liabilities

25,104

29,324 25,095
Liabilities directly associated with assets held for sale

1,007

13 870
Other liabilities

3,146

4,885 4,668
Total liabilities and equity

41,722

43,484

39,883

Source: Audited Consolidated Financial Statements

PPF Group N.V.:

Income statement (IFRS)

(EUR million) FY 2024 FY 2023 FY 2022
Net interest income 542 519 1,297
Net fee and commission income  16 38 226
Net real estate income 7 (19) 7
Net telecommunications income 1,367 1,311 2,385
Net media income 427 391 362
Net mechanical engineering income 335 292 289
Net leisure income 140 117 80
Other operating income 209 358 382
Net impairment losses on financial assets (179) (152) (665)
Operating expenses (2,584) (2,334) (3,446)

Subsidiaries and equity accounted investees - gain on disposals and share on profit

2,710 724 169
Profit before tax 2,990 1,245 1,086
Income tax expense (235) (218) (867)
Net profit from continuing operations 2,755 1,027 219
Net profit / (loss) from discontinued operations, net of tax 445 422 (55)
Net profit for the period 3,200 1,449 164
Profit attributable to:
Owners of the Parent 3,188 1,355 242
Non-controlling interests 12 94 (78)
Source: Audited Consolidated Financial Statements
Name
Date
File type
Action