SRV’s half-year financial report January–June 2021: Financing arrangements improve balance sheet and financing structure; favourable trends in profitability continue
SRV GROUP PLC HALF-YEAR FINANCIAL REPORT 21 JULY 2021 8:30 EET SRV’s half-year financial report January–June 2021: Financing arrangements improve balance sheet and financing structure; favourable trends in profitability continue January–June 2021 in brief: · Revenue declined by 14.4 per cent to EUR 405.1 million (473.1 1−6/2020). · Operative operating profit improved to EUR 10.5 (4.9) million. · Operating profit was EUR 11.4 (7.8) million. · The result before taxes was EUR 3.6 (-6.4) million. · Cash flow from business and investment activities totalled