Torsdag 28 Augusti | 22:17:22 Europe / Stockholm

Prenumeration

Kalender

Est. tid*
2025-07-09 - X-dag ordinarie utdelning KRU 18.00 PLN
2025-06-23 - Årsstämma
2025-01-30 - Extra Bolagsstämma
2024-05-14 - X-dag ordinarie utdelning KRU 18.00 PLN
2023-09-06 - X-dag ordinarie utdelning KRU 15.00 PLN
2022-04-20 - X-dag ordinarie utdelning KRU 13.00 PLN
2021-06-23 - X-dag ordinarie utdelning KRU 11.00 PLN

Beskrivning

LandPolen
SektorFinans
IndustriÖvriga finansiella tjänster
KRUK S.A. is a leader of the debt management market. Over nearly two decades, we have grown from a small firm employing less than 20 staff into a global financial group, specialising broadly in debt management. Currently, the KRUK Group comprises a number of companies offering a comprehensive range of modern integrated services, which we are ready to tailor to the needs and expectations of our partners in order to recover payments owed to them.
2025-08-26 17:17:00

Interim Reports 2Q 2025

The Management Board of KRUK S. A. publishes KRUK Group’s report for the period January 1st- June 30th 2025, issued on August 26th 2025
The report consists of three parts:
1. KRUK Group FS H1 2025_1part
2. KRUK FS H1 2025_2part
3. KRUK's H1 2025 additional information_3part
4.GK KRUK - Independent Auditor's Report on Review of the H1 Statements 2025
5.KRUK - Independent Auditor's Report on Review of the H1 Statements 2025

Financial highlightsPLN ‘000EUR ‘000
For the period1 Jan–30 Jun 2025 unaudited1 Jan–30 Jun 2024 unaudited1 Jan–30 Jun 2025 unaudited1 Jan–30 Jun 2024 unaudited
Revenue1,599,6961,480,569379,003343,448
Operating profit804,059770,686190,499178,776
Profit before tax585,365586,023138,686135,940
Net profit attributable to owners of the Parent584,018602,657138,367139,798
Net cash from operating activities398,482333,47594,40977,356
Purchase of debt portfolios at prices as per agreement805,454899,729190,830208,710
Cash recoveries1,910,3051,737,547452,593403,059
Net cash from investing activities(40,849)(5,445)(9,678)(1,263)
Net cash from financing activities(306,293)(535,446)(72,568)(124,207)
Net change in cash51,340(207,416)12,164(48,114)
Diluted earnings per share (PLN/EUR)28.7129.466.806.83
Average number of shares (‘000)19,39219,31919,39219,319
Earnings per share (PLN/EUR)30.1231.207.147.24
     
As at30 Jun 2025 unaudited31 Dec 202430 Jun 2025 unaudited31 Dec 2024
Total assets12,098,92511,648,8792,852,2422,726,159
Non-current liabilities6,491,2606,504,4821,530,2721,522,228
Current liabilities844,361615,740199,053144,100
Equity4,763,3044,528,6571,122,9181,059,831
Share capital19,40319,3824,5744,536
Book value per ordinary share245.49233.6557.8754.68

Contacts
Anna Kowalczyk
tel. no.: +48 71 790 2280
e-mail: ir@kruksa.pl

Tomasz Kałuziak
tel. no.: +48 71 345 6789
e-mail: ir@kruksa.pl