March 23 (Reuters) - Visiativ SA ALVIV.PA :
* 31.5M OPERATING CASH FLOW AND €5.6M REDUCTION IN NET DEBT
IN
2021
* FY NET INCOME GROUP SHARE EUR 9.7 MILLION VERSUS EUR 1.5
MILLION
YEAR AGO
* FY EBITDA EUR 22.1 MILLION VERSUS EUR 14.3 MILLION YEAR
AGO
* IN 2022, INTENDS TO MAINTAIN ITS GROWTH MOMENTUM AND
ACCELERATE
THE SYNERGIES BETWEEN ITS VARIOUS ACTIVITIES, IN FRANCE AND
INTERNATIONALLY
* FY REVENUE EUR 214.4 MILLION VERSUS EUR 189.9 MILLION YEAR
AGO
* VISIATIV CONFIRMS ITS €30M EBITDA TARGET 30 MILLION BY
2023 AS
PART OF THE CATALYST PLAN
* FOR THE FIRST TIME, BOD TO PROPOSE THE PAYMENT OF A
DIVIDEND OF
0.45 PER SHARE IN CASH FOR FY 2021
* FY NET FINANCIAL DEBT WAS REDUCED TO €29.9 MILLION, VERSUS
€35.5
MILLION YEAR AGO
Source text for Eikon: ID:nNDLKDFmh
Further company coverage: ALVIV.PA
(Gdansk Newsroom)
((gdansk.newsroom@thomsonreuters.com; +48 58 769 66 00;))