Sept 9 (Reuters) - Chargeurs SA CRIP.PA :
* H1 OPERATIONAL CASH FLOW EUR 58 MILLION
* H1 REVENUE EUR 372.4 MILLION VERSUS EUR 326.1 MILLION IN
H1 2019
* H1 RECURRING OPERATING PROFIT EUR 34.0 MILLION VERSUS EUR
59.5
MILLION YEAR AGO
* H1 EBITDA EUR 46.3 MILLION
* H1 NET RESULT GROUP SHARE EUR 24.7 MILLION VERSUS EUR 29.0
MILLION YEAR AGO
* GROUP CONSIDERS THAT THE PERSISTENCE OF THE COVID CRISIS
WILL
ONLY ALLOW FOR A GRADUAL ECONOMIC RECOVERY IN THE COMING MONTHS,
WHICH SHOULD ONLY FULLY MATERIALIZE IN 2022
* INTERIM DIVIDEND FOR 2021 AT 0.48 EUROS PER SHARE
* INTENDS TO CAPITALIZE ON ITS SIGNIFICANT AVAILABLE
LIQUIDITY TO
ACCELERATE ITS STRATEGY OF TARGETED, VALUE-CREATING ACQUISITIONS
* H1 NET INCOME GROUP SHARE EUR 24.7 MILLION VERSUS EUR 8.3
MILLION IN H1 2019
* END H1 NET DEBT STANDS AT EUR 88.7 MILLION
* CONFIRMS ITS 2025 'LEAP FORWARD' OUTLOOK
Source text: https://bit.ly/38OAS9r
Further company coverage: CRIP.PA
(Gdansk Newsroom)
((gdansk.newsroom@thomsonreuters.com; +48 58 769 66 00;))