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Graphisoft Park SE
Graphisoft Park SE
Graphisoft Park SE share

Graphisoft Park SE

  • Introduction
  • Trading data
  • Financials
  • Shareholders, management
  • Publications
  • Product features
  • Research
Full Name Graphisoft Park SE Real Estate Development European Company Limited by Shares
Short name Graphisoft Park SE
Sector Real Estate
Contact
HU-1031 Budapest, Záhony u. 7.
Phone: +36-1-815-3400
Fax: +36-1-368-6067
Investor Relations
Ildikó Farkas
Phone: +36-1-815-3400
Fax: +36-1-815-3401
Auditor BDO Hungary Ltd.
Business activity The Company s main activity is to develop and operate the facilities of Graphisoft Park in the 3rd district of Budapest, right at the banks of the Danube River, on the locale of the former Capital City Gas Works. Graphisoft Park s entire land totals 18 hectares, of which 13 hectares are developed to this date into 83.000 m2 gross leasable area (office, laboratory space and cca. 2,000 underground parking), which includes the Aquincum Campus dedicated educational space in the renovated historic buildings of the old Gas Works. Tenants of the Park are cca. 80 Hungarian and multinational companies, primarily in the biotech, software development and research business and startup entrepreneurs as well as education institutes.
Listed securities of the issuer
Name Ticker ISIN
Graphisoft Park SE share GSPARK HU0000083696
Basic Information
Ticker GSPARK
ISINHU0000083696
Date of listing28 Aug 2006
Currency of tradingEUR
Face Value0.02 EUR
Number of securities listed10,631,674
Market Capitalisation (HUF million)55,341
P/BV
P/BV* 0.9519
* 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
20231 20241
(thousand EUR) (thousand EUR)
Total revenues 16,845 17,261
Operating Profit (EBIT) 11,169 19,081
Net income from financial activities -986 -1,634
Profit before tax 10,183 17,447
Profit after tax 10,162 17,082
Dividend per (ordinary) share 0.7 EUR 0.71 EUR
Fixed Assets 224,710 227,496
Total liabilities 91,966 84,628
Share capital 250 250
Shareholders equity 152,157 160,813
Total assets 244,123 245,441
Number of employees (at business year end) 25 25
(1) audited, consolidated, IFRS; Business Year: January 1 - December 31

Selected financial ratios

Ratios are based on data submitted by the company
2023 2024
Equity Ratio 0.6 0.53
Return on assets (ROA) 0.07 0.11
Return on equity (ROE) 0.04 0.07

Mid-year reports

non-audited, consolidated, IFRS; Business Year: January 1 - December 31
Key P&L Figures Jan 2024 - Jun 20241 Jan 2025 - Jun 20251
(thousand EUR) (thousand EUR)
Net sales 8,682 8,699
Operating profit (EBIT) 7,980 -4,022
Net income from financial activities -697 -649
Profit before tax 7,283 -4,671
Profit after tax 7,273 -4,718
Key Balance Sheet Items 30 Jun 2024 30 Jun 2025
(thousand EUR) (thousand EUR)
Fixed Assets 225,520 215,656
Intangible Assets 37 40
Tangible assets 220,048 212,722
Invested financial assets 5,435 2,894
Current Assets 14,726 22,915
Inventory 0 0
Total assets 240,246 238,571
Shareholders equity 152,941 148,453
Share capital 250 250
Long-term liabilities 77,316 63,997
Short-term liabilities 9,989 26,121
Total liabilities and shareholders equity 240,246 238,571
(1) non-audited, consolidated, IFRS; Business Year: January 1 - December 31
Shareholders exceeding 5% stake with respect to the listed series
Name Shareholding (%) Share piece
Gábor Bojár 15.85 1,685,125
B.N.B.A. Holding Ltd. 14.11 1,500,000
HOLD Asset Management 11.37 1,209,009
Treasury Shares 5.16 549,076
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.
Note: Free float is calculated according to Section 3.§ (3) of the Act CII. of 2011 on the Regulated Real Estate Investment Companies (SZIT), so BSE did not take into account the holders who holds, directly or indirectly, more than 5% of the total face value of the registered capital when determining the free float. The value of the free float is based on the data provided by the issuer.
Management
Board of Directors BOJÁR Gábor chairman, KOCSÁNY János, Dr. KÁLMÁN János, Dr. MARTIN HAJDU György, SZIGETI András, HORNUNG Péter, FARKAS Ildikó
Management BOGNÁR Tünde (CEO); FARKAS Ildikó (Director of Finance)
Publication Report
29 Apr 2025 15:34 Graphisoft Park SE Annual Reports for the year 2024 (IFRS consolidated and IFRS standalone)
12 Aug 2025 17:16 Half-yearly Report 2025 H1
29 Apr 2025 15:38 Corporate Governance Report
Publication Articles of Association
30 Apr 2025 12:00 Articles of Associations
Publication Voting rights, registered capital
29 Aug 2025 10:08 Share capital, voting rights
Publication Corporate Action Timetable
18 Dec 2024 11:21 Calendar of Events 2025
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Name of securityGraphisoft Park SE share
IssuerGraphisoft Park SE Real Estate Development European Company Limited by Shares
Equity classOrdinary share
Type of securityRegistered
Form of securityDematerialised
Code of security (ISIN)HU0000083696
Ticker symbolGSPARK
Face value0.02 EUR
Number of securities listed10,631,674
Rights to dividendsFull year
Listing date28 Aug 2006
First Trading Day28 Aug 2006
MarketPrime
Trading Unit
Currency of tradingEUR
Trading time