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: -
Web: nap.solar
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Investor Relations | |||||||
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 |
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Basic Information | |
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Ticker | NAP |
ISIN | HU0000180765 |
Date of listing | 28 Sep 2021 |
Currency of trading | HUF |
Face Value | 1,000 HUF |
Number of securities listed | 8,415,065 |
Market Capitalisation (HUF million) | 9,846 |
P/BV | |
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P/BV* | 0.8193 |
* Calculating based on the capitalisation of the actual series only
Performance | |
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* annualized yield
Key annual data
audited, consolidated, IFRS; Business Year: January 1 - December 3120221 | 20232 | |
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(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 company2022 | 2023 | |
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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 30Key P&L Figures | Jan 2023 - Jun 20231 | Jan 2024 - Jun 20241 |
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(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 |
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(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 | ||
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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 |
Free Float: 30.92% | Last update: 23 Sep 2024 | |
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 | |
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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 |
Last update: 27 Jan 2025 |
Note: Publications of this issuer are available in Hungarian only.
Publication | News |
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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 |
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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 | Articles of Association |
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03 Sep 2024 18:02 | Alapszabály - az alaptőke csökkentésének bejegyzése után |
Publication | Voting rights, registered capital |
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31 Jan 2025 18:04 | Közzététel a szavazati jogok számáról és az alaptőke nagyságáról |
Name of security | NAP Nyrt. ordinary share |
Issuer | NAP Nyilvánosan Működő Részvénytársaság |
Equity class | Ordinary share |
Type of security | Registered |
Form of security | Dematerialised |
Code of security (ISIN) | HU0000180765 |
Ticker symbol | NAP |
Face value | 1,000 HUF |
Number of securities listed | 8,415,065 |
Rights to dividends | Full year |
Listing date | 28 Sep 2021 |
First Trading Day | 21 Oct 2021 |
Trading Unit | |
Currency of trading | HUF |
Trading time | |
Listing price | 1,001.8 |
Date of Issue | 11 Nov 2020 |