Group Income Statement

for the year ended 31 December 2022

 

Notes

2022

2021

   

€’000

€’000

       

Continuing Operations

     

Revenue

2

347,695

344,473

Operating costs (before depreciation, amortisation, gain on disposal of assets)

3

(339,288)

(331,345)

       
       

EBITDA1 before gain on disposal of assets

 

8,407

13,128

       

Net depreciation and amortisation

5

(11,765)

(11,654)

Gain on disposal of assets

5

12

73

Gain on disposal of investments

 

36

-

       

(Loss)/ Gain from Operating Activities

 

(3,310)

1,547

       

Finance income

4

2,136

2,620

Finance expense

4

(1,816)

(1,401)

       

(Deficit)/ Surplus before Income Tax

5

(2,990)

2,766

       

Income tax credit/(expense)

7

197

(407)

       

(Deficit) /Surplus for the Year

 

(2,793)

2,359

1 EBITDA: Earnings (operating profit) before interest, tax, depreciation and amortisation