June 1 (Reuters) - Catana Group SA CATGR.PA :
* H1 OPERATING PROFIT EUR 11.5 MILLION VERSUS EUR 5.8
MILLION YEAR
AGO
* H1 NET RESULT EUR 8.2 MILLION, COMPARED WITH €5.1 MILLION
IN THE
FIRST HALF OF 2020/2021
* END-H1 POSITIVE CHANGE IN CASH OF €25 MILLION AND NOW HAS
OVERALL CASH OF NEARLY €71 MILLION COMPARED TO €45.5 MILLION AT
AUGUST 31
* ORDER BOOK CONFIRMS EXCELLENT PROSPECTS FOR THE NEXT TWO
YEARS,
WITH €210 MILLION IN BILLINGS ALREADY SECURED FOR 2022/2023, AS
WELL AS €160 MILLION FOR 2023/2024 OUT OF A TARGET OF OVER €250
MILLION
* END-H1 CASH FLOW STANDS AT €12.4 MILLION COMPARED TO €7.9
MILLION IN FEBRUARY 2021, AN INCREASE OF 57%
Source text for Eikon: ID:nGNE8xX5cW
Further company coverage: CATGR.PA
(Gdansk Newsroom)
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