Catom Annual Report 2022 EN
€
2022
2021
CONSOLIDATED PROFIT AND LOSS ACCOUNT
Net turnover (12)
1,396,384,321
993,717,311
Changes in stock of finished products
5,852,728
4,716,176
Sum of operating income
1,402,237,049
998,433,487
for 2022
Cost of raw materials and consumables
1,321,357,938
951,434,651
Wages and salaries (13)
16,201,269
13,033,586
Social insurance charges
2,554,703
2,077,241
Pension expenses
1,535,401
1,225,512
Other personnel expenses
2,708,403
1,706,447
Amortisation of intangible and tangible
7,488,746
5,503,054
fixed assets (15)
Other operating expenses (14 /16 /18)
29,695,734
19,548,602
Total operating expenses
1,381,542,194
994,529,093
Operating result
20,694,855
3,904,394
Financial income and expenses (17)
-1,427,066
-670,539
Result before taxes
19,267,789
3,233,855
Taxes (20)
-5,280,861
-964,678
Share in result of non-consolidated
5,609
8,879
participations (19)
Net result after taxes, accruing to
13,992,537
2,278,056
the legal entity
52
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