June 3 (Reuters) - Catana Group SA CATGR.PA :
* END-H1 NET CASH FLOW FROM OPERATING ACTIVITIES WAS
POSITIVE AT
€3.2 MILLION
* CATANA GROUP SA TARGETS HIGHER FY REVENUE VERSUS YEAR AGO
* H1 REVENUE EUR 41.8 MILLION VERSUS EUR 32.8 MILLION YEAR
AGO
* 2020/21 ORDER BOOK OF EUR 45 MILLION
* H1 NET RESULT GROUP SHARE EUR 2.5 MILLION VERSUS EUR 2.1
MILLION
YEAR AGO
* H1 OPERATING PROFIT EUR 3.4 MILLION VERSUS EUR 2.5 MILLION
YEAR
AGO
* SHOULD REMAIN AT AN ACTIVITY LEVEL CLOSE TO 2018/2019,
AROUND
EUR 80 MILLION
Source text for Eikon: ID:nGNE19zSvh
Further company coverage: CATGR.PA
(Gdansk Newsroom)
((gdansk.newsroom@thomsonreuters.com; +48 58 778 51 10;))