SOCIETATEA NATIONALA DE TRANSPORT GAZE NATURALE TRANSGAZ SA financials

SOCIETATEA NATIONALA DE TRANSPORT GAZE NATURALE TRANSGAZ SA

Country: RO Reporting currency: RON Latest annual report: 2022-12-31
LEI: 254900R11L2IUTHIZ779
Source filing ↗
Financial statements (RON, as reported — unscaled; 80 line items across 2 annual periods)
Line item 20222021
Income statement
Other income RON 149.3MRON 128.5M
Depreciation & amortisation RON 435.4MRON 359.7M
Operating profit (EBIT) RON 146.3MRON 120.7M
Finance costs RON 225.1MRON 42.7M
Profit before tax RON 419.6MRON 230.2M
Income tax expense RON 72.5MRON 53.4M
Profit for the year RON 347.1MRON 176.8M
— attributable to NCI -RON 4.8M-RON 1.3M
Total comprehensive income RON 341.1MRON 224.2M
Per share
Basic EPS RON 1.84RON 15.03
Free cash flow / share RON 2.64RON 46.31
Cash flow statement
Net cash from operating activities RON 515.9MRON 592.1M
Income taxes paid RON 77.5MRON 24.1M
Net cash from investing activities -RON 483.4M-RON 781.4M
Purchase of PP&E (capex) RON 18.8MRON 47.3M
Purchase of intangibles RON 598.2MRON 941.4M
Net cash from financing activities -RON 28.8MRON 314.8M
Dividends paid RON 175.1MRON 96.3M
Lease liability payments RON 5.2MRON 4.7M
Balance sheet
Total assets RON 8.26BRON 8.01B
Non-current assets RON 6.88BRON 6.67B
Property, plant & equipment RON 801.2MRON 852.2M
Right-of-use assets RON 16.9MRON 19.6M
Intangible assets & goodwill RON 9.6MRON 9.7M
Current assets RON 1.38BRON 1.34B
Inventories RON 613.2MRON 311.7M
Trade & other receivables RON 346.8MRON 612.0M
Cash & equivalents RON 418.7MRON 415.0M
Total equity RON 4.14BRON 3.97B
— attributable to owners RON 4.06BRON 3.87B
Non-controlling interests RON 82.8MRON 93.5M
Non-current liabilities RON 3.15BRON 3.09B
Long-term borrowings RON 2.05BRON 1.90B
Current liabilities RON 964.7MRON 946.0M
Current portion of long-term borrowings RON 136.6MRON 132.1M
Trade & other payables RON 634.6MRON 650.5M
Deferred tax liabilities RON 3.1MRON 0
Derived metrics
Free cash flow RON 497.1MRON 544.7M
Return on equity 8.4%4.5%
Cash conversion ratio 1.49×3.35×
Capex coverage 27.44×12.52×
Other reported items
Changes In Other Provisions -RON 18.1MRON 7.2M
Comprehensive Income Attributable To Noncontrolling Interests -RON 4.8M-RON 152.9K
Comprehensive Income Attributable To Owners of Parent RON 346.0MRON 224.4M
Current Advances RON 107.4MRON 91.7M
Current Provisions RON 81.4MRON 67.8M
Current Provisions For Employee Benefits RON 4.6MRON 4.0M
Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners RON 0
Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners Per Share RON 0.00
Dividends Recognised As Distributions To Owners Per Share RON 0.00
Equity and Liabilities RON 8.26BRON 8.01B
Finance Income RON 498.4MRON 152.2M
Gains Losses On Exchange Differences On Translation Net of Tax -RON 8.4MRON 31.6M
Increase Decrease In Cash and Cash Equivalents RON 3.7MRON 125.5M
Intangible Assets Other Than Goodwill RON 3.91BRON 4.00B
Interest Paid Classified As Operating Activities RON 69.6MRON 7.4M
Interest Received Classified As Operating Activities RON 1.3MRON 973.0K
Issued Capital RON 1.88BRON 117.7M
Liabilities RON 4.12BRON 4.04B
Miscellaneous Other Operating Expense RON 174.3MRON 187.1M
Net Deferred Tax Assets RON 0RON 352.6K
Noncurrent Advances RON 969.2MRON 1.07B
Number of Shares Issued 188.4M11.8M
Other Cash Receipts From Operating Activities RON 661.7MRON 622.5M
Other Reserves RON 1.27BRON 1.27B
Proceeds From Changes In Ownership Interests In Subsidiaries RON 0RON 103.1M
Proceeds From Noncurrent Borrowings RON 0RON 403.2M
Proceeds From Sales of Property Plant and Equipment Classified As Investing Activities RON 479RON 861.8K
Profit Loss Attributable To Ordinary Equity Holders of Parent Entity RON 351.9MRON 178.1M
Provisions For Employee Benefits RON 110.9MRON 106.0M
Repayments of Noncurrent Borrowings RON 143.5MRON 70.2M
Reserve of Exchange Differences On Translation RON 19.9MRON 16.5M
Retained Earnings RON 199.6MRON 1.79B
Revenue and Operating Income RON 1.58BRON 1.36B
Royalty Expense RON 5.7MRON 4.9M
Share Premium RON 247.5MRON 247.5M
Tax Expense Other Than Income Tax Expense RON 86.8MRON 86.2M
Trade and Other Payables RON 14.2MRON 16.7M
Trade and Other Receivables RON 2.14BRON 1.79B
Wages and Salaries RON 495.1MRON 467.7M
Methodology

Every line item above is a fact tagged in SOCIETATEA NATIONALA DE TRANSPORT GAZE NATURALE TRANSGAZ SA's annual report filed in the European Single Electronic Format (ESEF) under the IFRS taxonomy (ifrs-full) — the income statement, balance sheet and cash-flow statement as the filer reported them. Values are shown as-is, in the reporting currency (RON), without rescaling; the row labels map to the underlying concept name (e.g. Revenue → ifrs-full:Revenue, Operating profit → ifrs-full:ProfitLossFromOperatingActivities, Diluted EPS → ifrs-full:DilutedEarningsLossPerShare), and any concept without a curated label is shown under “Other reported items” with its de-camel-cased tag name. Only consolidated, default-member facts are shown (segment / dimensional breakdowns are excluded).

“Derived metrics” (free cash flow, margins, ROE, …) are computed from those facts by the same model the U.S. financials pages use — not tagged by the filer.

Source: machine-readable OIM xBRL-JSON aggregated by filings.xbrl.org (XBRL International). Entity identity is resolved by LEI via the public-domain GLEIF register. This is reference data, not investment advice.