Staff20192020202120222023
Personnel at the end of the year2427242425
Staff turnover in EUR835,458740,037841,417923,958977,680
Turnover LabelEUREUREUREUREUR
The share: stated in EUR20192020202120222023
Shares outstanding (in mn.)0.250.250.2510.080.25
Dividend per share1261.06357160201
Basic earnings per share1.62-1.371.100.871.01
P/L in EUR million under IAS/IFRS20192020202120222023
Turnover20.120.020.222.224.4
Operating income (EBIT)17.6-11.812.810.511.1
Earnings before taxes16.4-13.711.18.810.2
Annual net profit/ loss16.3-13.811.08.810.2
Balance sheet in EUR million under IAS/IFRS20192020202120222023
Assets
Total current assets0.00.00.00.00.0
Total fixed assets0.00.00.00.00.0
Total assets299.2245.4240.0249.2244.1
Liabilities
Total short-term liabilities0.00.00.00.00.0
Total long-term liabilities0.00.00.00.00.0
Total provisions0.20.10.10.00.0
Equity capital178.7133.0135.9149.6152.2
Total liabilities299.2245.4240.0249.2244.1
Management:
Janos Kocsany
Ildiko Farkas
Zsuzsa Pálfall
Board:
Gábor Zoltán Bojár
György Martin-Hajdu
János Kálmán
András Szigeti
Ildiko Farkas
Péter Hornung
Shareholding in %:
Address: Záhony utca 7, 1031 Budapest
T: +36-1-815-3400
F: +36-1-815-3401
I: http://www.graphisoftpark.com
E: info@graphisoftpark.com