Catom Annual Report 2022 EN

6. Cash and cash equivalents

The cash and cash equivalents as at 31 December 2022 are at the company’s free disposal.

7. Group equity

The group equity is explained in detail in the notes to the balance sheet in the company only financial statements.

7.1. Breakdown of the total Group result The total result of the Group is broken down as follows: €

2022

2021

Consolidated net result after taxes

13,992,537

2,278,056

Realised revaluation taken to shareholders’ equity

107,147

117,313

Adjustment of present value of deferred tax

0

0

liability on revaluation

Total of the movements taken directly to the Group’s

107,147

117,313

shareholders’ equity

Total Group result

14,099,684

2,395,369

8. Provisions €

31-12-2022 31-12-2021

Deferred tax liability

6,152,927

1,005,279

Other provisions

807,506

117,222

6,960,433

1,122,501

The provision for deferred tax liabilities is primarily of a long-term nature.

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