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Month: February 2021

Persbericht Biocartis Group NV: BIOCARTIS KONDIGT 2020 JAARRESULTATEN AAN OP 25 FEBRUARI 2021

PERSBERICHT: GEREGLEMENTEERDE INFORMATIE18 februari 2021, 07:00 CETBIOCARTIS KONDIGT 2020 JAARRESULTATEN AAN OP 25 FEBRUARI 2021Mechelen, België, 18 februari 2021 – Biocartis Group NV (de ‘Vennootschap’ of ‘Biocartis’), een innovatief bedrijf in de moleculaire diagnostiek (Euronext Brussels: BCART), kondigt vandaag aan dat het zijn 2020 jaarresultaten en vooruitzichten voor 2021 zal bekendmaken op 25 februari 2021 om 07:00 CET.Het management team van Biocartis zal op de dag van de aankondiging van de resultaten een conference call met live webcastpresentatie houden, op 25 februari 2021 om 14:30u CET / 13:30u BST (VK) / 08:30u EDT (VS).Voor toegang tot deze live webcast, klik hier.Om deel te nemen aan de vraag- en antwoordsessie, gelieve 5-10 minuten vóór de start in te bellen op één van de onderstaande nummers, gevolgd door de bevestigingscode...

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Atos: 2020 annual results

Record high bookingsAll 2020 objectives achievedOrder entry at € 13,330 million, +10% year-on-year at constant currencyBook to bill ratio at 119% (excl. € 3 billion Siemens renewal) with Q4 at 130%Revenue at € 11,181 million, -3.0% organically thanks to a resilient business modelProgressive recovery from Q2 as plannedCloud, Digital, Security & Decarbonization at 46% of revenue (40% in 2019)Operating margin at € 1,002 million9.0% of revenue fueled by strong actions on costs (10.1% in 2019)Free cash flow at € 513 millionNet income Group share at € 550 million, normalized diluted EPS at € 6.6510 acquisitions accelerating Group transformation2021 objectives: Return to growthand a clear path towards mid-term targetsParis, February 18, 2021: Atos, a global leader in digital transformation, today announces its FY 2020 results.Elie Girard,...

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Atos : Résultats annuels 2020

Niveau record de prise de commandesTous les objectifs de 2020 ont été atteintsPrises de commandes à 13 330 millions d’euros, +10% à taux de change constant,Ratio prise de commandes sur chiffre d’affaires de 119% (excluant le renouvellement de Siemens pour 3 milliards d’euros) et de 130% au quatrième trimestreChiffre d’Affaires à 11 181 millions d’euros, -3,0% en organique grâce à un profil résilientReprise progressive par rapport au deuxième trimestre comme prévuCloud, Digital, Sécurité et Décarbonation à 46% du chiffre d’affaires (40% en 2019)Marge opérationnelle à 1 002 millions d’euros9,0% du chiffre d’affaires grâce aux actions fortes sur les coûts (10,1% en 2019)Flux de Trésorerie Disponible à 513 millions d’eurosRésultat net part du Groupe à 550 millions d’eurosBénéfice par action dilué normalisé à 6,65 euros10 acquisitions pour...

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Eezy Plc’s Financial Statements Bulletin 2020: Good operational profitability, synergy goals achieved

EEZY PLC  —  FINANCIAL STATEMENTS BULLETIN  —  18 FEBRUARY 2021 AT 8:00Eezy Plc’s Financial Statements Bulletin 2020: Good operational profitability, synergy goals achievedOctober–December 2020Revenue was EUR 43.4 million (EUR 65.6 million in October–December 2019).EBITDA was EUR 3.4 million (4.2).EBIT was EUR 1.5 million (2.3).Adjusted EBITDA was EUR 3.7 million (4.8).Adjusted EBIT was EUR 1.8 million (2.9).Earnings per share was EUR 0.02 (0.05).Deepening corona situation decreased business volume.January–December 2020Revenue was EUR 190.6 million (EUR 169.8 million in January–December 2019).EBITDA was EUR 13.5 million (12.6).EBIT was EUR 5.6 million (8.0).Adjusted EBITDA was EUR 14.3 million (16.4).Adjusted EBIT was EUR 6.9 million (11.8).Earnings per share was EUR 0.11 (0.25).Corona crisis has affected the business...

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Eezy Oyj:n tilinpäätöstiedote 2020: Hyvä operatiivinen kannattavuus, synergiatavoitteet saavutettu

EEZY OYJ  —  TILINPÄÄTÖSTIEDOTE  —  18.2.2021 KLO 8.00Eezy Oyj:n tilinpäätöstiedote 2020: Hyvä operatiivinen kannattavuus, synergiatavoitteet saavutettuLoka–joulukuu 2020Liikevaihto oli 43,4 milj. euroa (65,6 milj. euroa loka–joulukuussa 2019).Käyttökate oli 3,4 milj. euroa (4,2).Liikevoitto oli 1,5 milj. euroa (2,3).Oikaistu käyttökate oli 3,7 milj. euroa (4,8).Oikaistu liikevoitto oli 1,8 milj. euroa (2,9).Osakekohtainen tulos oli 0,02 euroa (0,05) osakkeelta.Koronatilanteen syventyminen supisti liiketoimintaa.Tammi–joulukuu 2020Liikevaihto oli 190,6 milj. euroa (169,8 milj. euroa tammi–joulukuussa 2019).Käyttökate oli 13,5 milj. euroa (12,6).Liikevoitto oli 5,6 milj. euroa (8,0).Oikaistu käyttökate oli 14,3 milj. euroa (16,4).Oikaistu liikevoitto oli 6,9 milj. euroa (11,8).Osakekohtainen tulos oli 0,11 euroa (0,25) osakkeelta.Koronakriisi...

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Arcadis reports fourth quarter and full year results 2020

 Arcadis reports strong operational performance and excellent free cash flow Achieved all key strategic targets for 2020Demonstrated resilience during challenging social-economic timesStrengthened foundation for further growthPositioned well to capitalize on global megatrends: urbanization, climate change, digitalization and societal expectations     Fourth quarter results:Operating EBITA margin 11.0% (Q4 2019: 9.2%)Excellent free cash flow of €124 million (Q4 2019: €85 million)Full year results:Operating EBITA margin improved to 9.2% (2019: 8.2%)Organic net revenue decline of 2% to €2.5 billion (gross revenues of €3.3 billion)Excellent free cash flow of €324 million (2019: €97 million)Net working capital at 12.6% (2019: 16.6%); DSO at 66 days (2019: 88 days)Reduction of net debt to €48 million, resulting in an average net debt/EBITDA...

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Kojamo plc’s Financial Statements Release 1 January–31 December 2020

Kojamo plc Stock Exchange Release, 18 February 2021 at 8:00 a.m. EETKojamo plc’s Financial Statements Release 1 January–31 December 2020Profitability and growth despite of exceptional yearThis is a summary of the 2020 Financial Statements Release, which is in its entirety attached to this release and can be downloaded from the company’s website at www.kojamo.fi/investors.Unless otherwise stated, the comparison figures in brackets refer to the corresponding period of the previous year. The information in the financial statements release is based on the Kojamo Plc’s audited financial statements for the year 2020. The quarterly figures are unaudited.Summary of October–December 2020Total revenue increased by 2.2 per cent to EUR 97.1 (95.1) million Net rental income increased by 6.2 per cent, totalling EUR 63.8 (60.1) million. Net rental income...

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SCANFIL-KONSERNIN TILINPÄÄTÖSTIEDOTE TILIKAUDELTA 1.1. – 31.12.2020

SCANFIL OYJ          TILINPÄÄTÖSTIEDOTE        18.2.2021     KLO 8.00  SCANFIL-KONSERNIN TILINPÄÄTÖSTIEDOTE TILIKAUDELTA 1.1. – 31.12.2020Q4/20 ja 2020: Vakaa suoritus poikkeuksellisena vuonna.  Asiakaskysyntä piristyi loppuvuonna.Loka – joulukuuLiikevaihto 154,1 (Q4 2019: 154,7) milj. euroa, laskua 0,4 %Oikaistu liikevoitto* 10,4 (10,0) milj. euroa, 6,8 % (6,5%) liikevaihdosta, kasvua 3,9 %Liikevoitto 4,3 (10,0) milj. euroa, 2,8 % (6,5 %) liikevaihdosta, laskua 56,9 %Voitto neljännellä neljänneksellä 3,1 (9,8) milj. euroaTulos / osake 0,05 (0,15) euroa, oikaistu tulos / osake 0,14 euroaTammi – joulukuuLiikevaihto 595,3 (1-12/ 2019: 579,4) milj. euroa, kasvua 2,7 %Oikaistu liikevoitto** 39,1 (39,4) milj. euroa, 6,6 % (6,8%) liikevaihdosta, laskua 0,7 %Liikevoitto 44,4 (35,3), milj. euroa 7,5 % (6,1 %) liikevaihdosta kasvua...

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SCANFIL GROUP’S FINANCIAL STATEMENT FOR 1 JANUARY – 31 DECEMBER 2020

SCANFIL PLC          FINANCIAL STATEMENT RELEASE        18 FEBRUARY 2021     8.00 A.M.  SCANFIL GROUP’S FINANCIAL STATEMENT FOR 1 JANUARY – 31 DECEMBER 2020Q4/20 and 2020: Solid performance in exceptional year.  Customer demand picked up towards year end. October – DecemberTurnover totalled EUR 154.1 million (Q4 2019: 154.7), decrease of 0.4%Adjusted operating profit* EUR 10.4 (10.0) million,  6.8% (6.5%) of turnover, increase of 3.9%Operating profit EUR 4.3 (10.0) million, 2.8% (6.5%) of turnover, decrease of 56.9%Net profit was EUR 3.1 (9.8) millionEarnings per share were EUR 0.05 (0.15), adjusted earnings per share EUR 0.14January – DecemberTurnover totalled to EUR 595.3 (1-12/2019: 579.4) million, increase of 2.7%Adjusted operating profit** EUR 39.1 (39.4) million,  6.6% (6.8%) of turnover, decrease of 0.7%Operating profit EUR...

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Marimekko’s Board of Directors has decided that a dividend of EUR 0.90 per share will be paid for 2019, and proposes that the AGM authorize the Board to decide on a maximum dividend of EUR 1.00 per share for 2020 at a later stage

Marimekko Corporation, Inside Information 18 February 2021 at 7.45 a.m.The Board of Directors of Marimekko estimates that the dividend for 2019 can be paid since, despite the exceptional circumstances caused by the coronavirus pandemic, the company’s financial position is stable. Marimekko’s liquidity is good and, in the view of the Board, the proposed dividend payout does not jeopardize the company’s solvency.

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