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Published: 2025-04-25 15:00:00 CEST
Grab2Go - Company Announcement

Grab2Go AS 2024 2nd HALF-YEAR AND 12 MONTH UNAUDITED INTERIM REPORT

Financial Results

The revenue for H2 (second half of the year) 2024 was €4,502, consisting of rental income. (H1, first half of the year, 2023 revenue was €278.) In addition to sales revenue, the company received a €500 grant in H2 2024 from Campus Founders GmbH. The total revenue for the 2024 fiscal year was €5,664 (compared to €21,264 in 2023).

The net loss for H2 2024 was €89,000 (compared to a €215,000 loss in H1 2023). Operating expenses in H2 2024 were reduced. Lower costs were partly due to the absence of 2023 expenses related to preparing for First North listing (including advisor fees, exchange fees, and transaction costs). The full-year net loss for 2024 was €188,162 (compared to €416,723 in 2023).

As of 31.12.2024, the company's total assets amounted to €723,345 (compared to €855,933 on 31.12.2023). Current assets totaled €178,432 (31.12.2023: €236,662). Fixed assets were €544,912 (31.12.2023: €619,270). The company’s equity was €650,646, constituting 90.0% of the balance sheet total (31.12.2023: €1,040,981, 95.3%).

Cash flow for H2 2024 was -€12,000 (compared to €191,000 in the same period in 2023), including -€1,000 from operations and -€145,000 from investing activities. For the full year 2024, cash flow was -€88,000 (compared to -€84,000 in 2023), including -€60,000 from operations, -€57,000 from investing, and €30,000 from financing activities.

The financial reports of reporting period can be found below:

Interim Financial Statement

Balance Sheet

(in euros)

  31.12.2024 30.06.2024 31.12.2023 30.06.2023  
Assets          
Current Assets          
Cash 873 12 888 89 219 280 294  
Receivables and Prepayments 4 331 1 708 6 407 16 727  
Inventories 173 228 166 072 141 037 67 000  
Total Current Assets 178 433 180 668 236 663 364 021  
Assets          
Tangible Fixed Assets 17 320 9 664 15 011 127 238  
Intangible Fixed Assets 527 592 561 979 604 259 601 408  
Total Current Assets 544 912 571 643 619 270 728 646  
Total Assets 723 345 752 311 855 933 1 092 667  
 
Liabilities and Equity          
Liabilities          
Current Liabilities          
Loan Liabilities 30 000 0 0 0  
Payables and Prepayments 42 698 11 063 17 124 51 686  
Total Current Liabilities 72 698 11 063 17 124 51 686  
Total Liabilities 72 698 11 063 17 124 51 686  
Equity          
Share Capital at Nominal Value 812 527 812 527 812 527 812 527  
Share Premium 878 394 878 394 878 394 878 394  
Retained Earnings (Loss) from Previous Periods -852 112 -852 112 -435 389 -435 389  
Profit (Loss) for the Reporting Period -188 162 -97 561 -416 723 -214 551  
Total Equity  650 647 741 248 838 809 1 040 981  
Total Liabilities and Equity 723 345 752 311 855 933 1 092 667  

 

   Income Statement

(in euros)

  01.01.2024- 31.12.2024 01.07.2024- 31.12.2024 01.01.2023-
31.12.2023
01.07.2023 - 30.12.2023  
Revenue 5 664 4 502 21 264 20 986  
Other Operating Income 10 500 500 0 0  
Goods, Raw Materials, and Services -9 781 -1 296 -3 156 -1 922  
Miscellaneous Operating Expenses -59 900 -22 109 -111 830 -17 110  
Personnel Expenses -10 806 -10 806 -145 422 -46 479  
Depreciation and Impairment of Fixed Assets -120 592 -60 296 -173 174 -157 478  
Significant Write-downs of Current Assets 0 0 0 0  
Other Operating Expenses - 2 622 0 -1 395 -173  
Operating Profit (Loss) -187 537 -89 505 -413 713 -202 176  
Interest Income 7 7 31 4  
Interest Expenses -632 0 -3 041 0  
Profit (Loss) Before Income Tax -188 162 -89 505 -416 723 -202 172  
Profit (Loss) for the Reporting Period -188 162 -89 505 -416 723 -202 172  

 

Cash Flow Statement

(in euros)

  01.01.2024-

31.12.2024

01.07.2024-

31.12.2024

01.01.2023-

31.12.2023

01.07.2023-

31.12.2023

 
Cash Flows from Operating Activities          
Operating Profit (Loss) -187 537 -89 505 -413 713 -202 176  
Adjustments          
Depreciation and Impairment of Fixed Assets 120 592 -60 296 173 174 157 478  
Total Adjustments 120 592 36 966 173 174 157 478  
Change in Receivables and Prepayments Related to Operating Activities 2 076 -2 298 257 -10 320  
Change in Inventories -32 191 -25 035 -60 019 -74 037  
Change in Liabilities and Prepayments Related to Operating Activities 25 574 -7 167 -37 455 -36 609  
Interest Received 7 0 31 4  
Receipts from Targeted Financing 10 500 500 0 0  
Total Cash Flows from Operating Activities - 60 979 -919 -337 725 -145 020  
Cash Flows from Investing Activities          
Payments for Acquisition of Tangible and Intangible Fixed Assets -57 366 -40 735 -117 399 -46 055  
Total Cash Flows from Investing Activities -57 366 -40 735 -117 399 -46 055  
Cash Flows from Financing Activities          
Loans Received 30 000 30 000 0 0  
Proceeds from Issue of Shares or Units 0 0 347 419 0  
Proceeds from Sale of Treasury Shares or Units 0 0 24 000 0  
Total Cash Flows from Financing Activities 30 000 30000 371 419 0  
Total Cash Flows - 88 345 -11 654 -83 705 -191 075  
Cash and cash equivalents at beginning of period 89 219 12 528 172 924 280 294  
Change in cash and cash equivalents -88 345 -11 654 -83 705 -191 075  
Cash and cash equivalents at end of period 874 874 89 219 89 219  

 

Statement of Changes In Equity

(in euros)

    Total
Share Capital at Nominal Value Share Premium Retained Earnings (Loss)
31.12.2022 752 270 262 872 -435 389 579 753
Profit (Loss) for the Reporting Period 0 0 -214 551 -214 551
Issued Share Capital 60 257 615 522   675 779
30.06.2023 812 527 878 394 -649 940 1 040 981
    Total
Share Capital at Nominal Value Share Premium Retained Earnings (Loss)
30.06.2023 812 527 878 394 -649 940 1 040 981
Profit (Loss) for the Reporting Period 0 0 -202 172 -202 172
31.12.2023 812 527 878 394 -852 112 838 809
    Total
Share Capital at Nominal Value Share Premium Retained Earnings (Loss)
31.12.2023 812 527 878 394 -852 112 838 809
Profit (Loss) for the Reporting Period 0 0 -98 025 -98 025
30.06.2024 812 527 878 394 -950 137 740 784
  Share Capital at Nominal Value Share Premium Retained Earnings (Loss) Total
30.06.2024 812 527 878 394 -950 137 740 784
Profit (Loss) for the Reporting Period 0 0 -90 137 -90 137
31.12.2024 812 527 878 394 -1 039 642 650 647

 

Additional information can be found in attached document.

 

 

 

Grab2Go AS 2024 2nd half-year unaudited interim report.pdf