June 7 (Reuters) - Catana Group SA CATGR.PA :
* H1 OPERATING PROFIT EUR 12.3 MILLION VERSUS EUR 11.5
MILLION
YEAR AGO
* END-H1 CASH FLOW STANDS AT EUR 14.5 MILLION COMPARED TO
EUR 12.4
MILLION YEAR GO
* H1 NET RESULT EUR 9.9 MILLION, COMPARED WITH EUR 8.2
MILLION
YEAR AGO
* SUPPLY CHAIN WILL IMPROVE OVER THE COMING MONTHS, NEW
AGREEMENT
WITH SUPPLIER SIGNED
* WITH FINANCIAL DEBT OF EUR 31.1 MILLION AT END-FEB, THE
GROUP
HAS NET CASH OF EUR 37 MILLION
* ORDER BOOK AND FAVORABLE LOGISTIC OUTLOOK TO CONSOLIDATE
DOUBLE-DIGIT GROWTH MODEL FOR FY 2024/25
Source text for Eikon: [ID: nNDL4X8wdd]
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