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Mindflair Accounts Summary


Date of Accounts 20252024202320222021
StandardIFRSIFRSIFRSIFRSIFRS
      
 MillionsMillionsMillionsMillionsMillions
Income Statement31-12-202531-12-202431-12-202331-12-202231-12-2021
Revenuen/an/an/an/an/a
Operating Profit / Loss-1.663.16-2.67-0.371.49
Net Interestn/an/an/an/an/a
Pre Tax Profit-1.663.16-2.67-0.371.49
Post Tax Profit-1.663.16-2.67-0.371.49
Profit for the Period-1.663.16-2.66-0.371.49
Equity Holders of Parent Company-1.663.16-2.66-0.371.49
Minority Interestsn/an/an/an/an/a
      
Continuing EPS     
Earnings per Share (Basic)-0.32p1.00p-1.44p-0.20p1.00p
Earnings per Share (Diluted)-0.32p0.86p-1.44p-0.20p0.80p
Earnings per Share (Adjusted)-0.32p1.00p-1.44p-0.20p1.00p
Continuing and Discontinued EPS     
Earnings per Share (Basic)-0.32p1.00p-1.44p-0.20p1.00p
Earnings per Share (Diluted)-0.32p0.86p-1.44p-0.20p0.80p
Earnings per Share (Adjusted)-0.32p1.00p-1.44p-0.20p1.00p
      
Dividend per Sharen/apn/apn/apn/apn/ap
      
 MillionsMillionsMillionsMillionsMillions
Balance Sheet31-12-202531-12-202431-12-202331-12-202231-12-2021
Non-Current Assets     
Intangible Assetsn/an/an/an/an/a
Property, Plant and Equipmentn/an/an/an/an/a
Investmentsn/an/an/an/an/a
Investment Propertiesn/an/an/an/an/a
Other Financial Assetsn/an/an/an/an/a
Other Non-Current Assetsn/an/an/an/an/a
Total Non-Current Assetsn/an/an/an/an/a
      
Current Assets     
Inventoriesn/an/an/an/an/a
Trade and Other Receivables0.010.470.690.370.01
Cash at Bank and in Hand0.610.220.200.850.37
Current Asset Investments8.9611.146.508.137.02
Other Current Assets8.9611.146.508.137.02
Total Current Assets18.5422.9713.8917.4814.41
      
Other Assetsn/an/an/an/an/a
Total Assets9.5811.837.399.357.40
      
Current Liabilities     
Borrowingsn/a0.48n/an/an/a
Other Current Liabilities0.170.15n/a0.290.17
Total Current Liabilities0.170.64n/a0.290.18
      
Net Current Assetsn/an/an/an/an/a
      
Non-Current Liabilities     
Borrowingsn/a0.401.331.24n/a
Provisionsn/an/an/an/an/a
Other Non-Current Liabilitiesn/an/a0.22n/an/a
Total Non-Current Liabilitiesn/a0.401.551.24n/a
      
Net Assets9.4110.795.847.827.22
      
Capital and Reserves     
Share Capital1.320.920.460.460.40
Share Premium Account10.399.888.788.787.87
Other Reserves12.2712.9112.6811.9911.99
Retained Earnings-14.57-12.91-16.07-13.41-13.04
Shareholders Funds9.4110.795.847.827.22
      
Minority Interests / Other Equityn/an/an/an/an/a
Total Equity9.4110.795.847.827.22
      
 31-12-202531-12-202431-12-202331-12-202231-12-2021
Operating Marginn/a%n/a%-66,625.00%n/a%n/a%
Return on Capital Employedn/a%n/a%n/a%n/a%n/a%
Dividend Covern/an/an/an/an/a
Dividend Yieldn/an/an/an/an/a
PE Ration/a0.60n/an/a7.50
PEGn/an/an/an/an/a
Dividend per Share Growthn/a%n/a%n/a%n/a%n/a%
Net Asset Value per Share1.79p2.05p1.11p1.49p1.37p