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NAP Nyrt.
NAP Nyrt.
NAP Nyrt. ordinary share

NAP Nyrt.

  • Introduction
  • Trading data
  • Financials
  • Shareholders, management
  • Publications
  • Product features
Full Name NAP Nyilvánosan Működő Részvénytársaság
Short name NAP Nyrt.
Sector Electric Utilities^~
Contact
HU-1024 Budapest, Lövőház utca 39.
Phone: +36 30 125 8288
Fax: -
Investor Relations
Péter Korponai
Phone: +36 20 530 2731
Fax: -
Auditor Authentic Audit Kft. (Auditor: Zsoldos-Horváth Andrea)^~
Business activity The aim of NAP Nyrt. is to become a solar energy production company that can operate efficiently even in international comparison by acquiring project companies that primarily own solar power plants in Hungary and also complies with ESG guidelines.
Listed securities of the issuer
Name Ticker ISIN
NAP Nyrt. ordinary share NAP HU0000180765
Basic Information
Ticker NAP
ISINHU0000180765
Date of listing28 Sep 2021
Currency of tradingHUF
Face Value1,000 HUF
Number of securities listed8,415,065
Market Capitalisation (HUF million)9,846
P/BV
P/BV* 0.8193
* Calculating based on the capitalisation of the actual series only
Performance
* annualized yield

Key annual data

audited, consolidated, IFRS; Business Year: January 1 - December 31
20221 20232
(thousand HUF) (thousand HUF)
Total revenues 2,426,007 2,541,065
Operating Profit (EBIT) 1,431,941 1,340,794
Net income from financial activities -37,547 -130,201
Profit before tax 1,394,394 1,210,593
Profit after tax 1,267,541 1,089,502
Dividend per (ordinary) share 0 HUF 30 HUF
Fixed Assets 15,225,426 18,117,137
Total liabilities 8,849,687 9,632,601
Share capital 8,044,349 8,399,384
Shareholders equity 9,978,895 11,613,988
Total assets 18,888,449 21,246,589
Number of employees (at business year end) 4 7
(1) Audited, consolidated, in compliance with HAS (Business Year: January 1 - December 31)
(2) audited, consolidated, IFRS; Business Year: January 1 - December 31

Selected financial ratios

Ratios are based on data submitted by the company
2022 2023
Equity Ratio 0.89 0.83
Return on assets (ROA) 0.13 0.09
Return on equity (ROE) 0.07 0.05

Mid-year reports

non-audited, consolidated, IFRS; Business Year: January 1 - June 30
Key P&L Figures Jan 2023 - Jun 20231 Jan 2024 - Jun 20241
(thousand HUF) (thousand HUF)
Net sales 1,229,854 1,494,763
Operating profit (EBIT) 752,367 927,826
Net income from financial activities -23,944 -158,119
Profit before tax 728,423 728,423
Profit after tax 666,550 656,048
Key Balance Sheet Items 30 Jun 2023 30 Jun 2024
(thousand HUF) (thousand HUF)
Fixed Assets 18,554,634 20,863,037
Intangible Assets 5,812,001 735,246
Tangible assets 12,599,125 14,518,534
Invested financial assets 143,508 1,198,970
Current Assets 2,807,551 3,204,895
Inventory 0 0
Total assets 21,362,185 24,067,932
Shareholders equity 11,214,386 12,018,253
Share capital 8,423,715 8,399,384
Long-term liabilities 7,090,433 10,467,167
Short-term liabilities 3,057,366 1,158,713
Total liabilities and shareholders equity 21,362,185 24,067,932
(1) non-audited, consolidated, IFRS; Business Year: January 1 - June 30
Shareholders exceeding 5% stake with respect to the listed series
Name Shareholding (%) Share piece
GTC Origine Investments Ltd. 15.05 1,266,651
Arezzo Private Equity Fund 13.76 1,158,152
Pál Skamla 10.33 870,000
Gábor Földvári 9.28 780,928
Pacsay and Sándor Law Firm 7.47 629,380
Clearstream Banking S.A. 7.13 600,000
Reál Hungary Inv. and Service Ltd. 6.06 510,000
Note: When determining the Free Float for a particular series, all the securities of the company shall be regarded to be publicly held other than (i) the stock of securities held by holders with direct holdings of more than 5% of the total number of securities, (ii) securities in the possession of custodians, provided the certificate available to the custodian verifies that the particular person holds more than 5% of the total number of securities outstanding belonging to the series. The value of the free float is based on the data provided by the issuer.
Management
Management Board KORPONAI Péter, (chairman), FÖLDVÁRI Gábor, TELC Ede, dr. HEVÉR Judit, STOFA György
Management KORPONAI Péter (CEO)
Supervisory Board GARAMVÖLGYI Szabolcs György, TÓTHNÉ RÁKOSA Erika, GOSZTONYI Balázs
Note: Publications of this issuer are available in Hungarian only.
Publication News
12 Feb 2025 18:38 A Nimann Kft. a KÁT szabályai alá tartozik
07 Feb 2025 17:33 A 2023. év eredménye után megállapított osztalék végleges mértéke
05 Feb 2025 19:26 Előterjesztések és határozati javaslatok a NAP Nyrt. 2025 február 27-i rendkívüli közgyűlésére
05 Feb 2025 19:19 Nem érinti a KÁT módosítás a NAP Nyrt. leányvállalatait
31 Jan 2025 20:49 Szerződések energiatárolók építésére
31 Jan 2025 18:04 Közzététel a szavazati jogok számáról és az alaptőke nagyságáról
30 Jan 2025 17:58 Új székhelyen a NAP Nyrt.
28 Jan 2025 13:34 Új fő tőzsdei kapcsolattartó
27 Jan 2025 18:23 Hirdetmény rendkívüli közgyűlés összehívásáról
27 Jan 2025 18:16 Rendkívüli közgyűlés kezdeményezése
Publication Report
26 Apr 2023 15:57 NAP Nyrt. közgyűlése által elfogadott éves jelentés - 2022 (egyedi és konszolidált)
30 Sep 2024 18:55 A NAP Nyrt. 2024. I. féléves konszolidált üzleti jelentése
26 Apr 2022 21:37 Felelős társaságirányítási jelentés - 2021
Publication Green framework
15 Feb 2023 10:12 A NAP Nyrt. kidolgozta és felállította a saját zöld finanszírozási keretrendszerét egy erre szakosodott, hazai specialista céggel. A zöld finanszírozási keretrendszer külső fél általi minősítését (SPO) a CICERO látta el. A CICERO hivatalos jelentésében a CICERO által alkalmazott „Shades of Green” minősítési eljárásrend alapján a NAP Nyrt. keretrendszere, illetőleg a benne szereplő beruházási céljai a legmagasabb, azaz „dark green” minősítést érte el.
Publication Articles of Association
03 Sep 2024 18:02 Alapszabály - az alaptőke csökkentésének bejegyzése után
Publication Voting rights, registered capital
31 Jan 2025 18:04 Közzététel a szavazati jogok számáról és az alaptőke nagyságáról
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Name of securityNAP Nyrt. ordinary share
IssuerNAP Nyilvánosan Működő Részvénytársaság
Equity classOrdinary share
Type of securityRegistered
Form of securityDematerialised
Code of security (ISIN)HU0000180765
Ticker symbolNAP
Face value1,000 HUF
Number of securities listed8,415,065
Rights to dividendsFull year
Listing date28 Sep 2021
First Trading Day21 Oct 2021
Trading Unit
Currency of tradingHUF
Trading time
Listing price1,001.8
Date of Issue11 Nov 2020