Net profit for the first half of 2022 increased to 25,480 (all figures likely in thousands of PLN, based on context) from 21,720 in the first half of 2021, while total comprehensive income rose to 30,996 from 22,072 in the same period.See it on page 54
02
Cash flow from operating activities significantly increased to 53,539 in H1 2022, compared to 17,325 in H1 2021, driven by higher profit before tax (27,775 vs 22,912) and changes in liabilities.See it on page 56
03
Expenditure on intangible assets grew substantially to 49,448 in H1 2022 from 7,622 in H1 2021, indicating increased investment in development.See it on page 65
04
Operating costs (Koszty według rodzaju) rose to 69,404 in H1 2022 from 59,199 in H1 2021, primarily due to increased operational scale, necessitating expansion of development and back-office structures.See it on page 72
05
The company's management does not foresee direct threats from the war in Ukraine to the Group's existence or financial performance, as they do not employ a significant number of Ukrainian or Russian foreign nationals and primarily receive revenue in USD or EUR.See it on page 78
06
PCF Group S.A. no longer controlled Spectral Games S.A. after acquiring 50.01% of Incuvo S.A. on April 26, 2022. Additionally, Spectral Applications Sp. z o.o. entered liquidation on June 30, 2022.See it on page 20
07
The company's revenue from external clients for game production increased to 52,634 in H1 2022 from 42,231 in H1 2021, and operating profit from this segment rose to 17,793 from 8,731.See it on page 27
SKONSOLIDOWANE SPRAWOZDANIE Z WYNIKU I POZOSTALYCH CATKOWITYCH DOCHODÓW od 01.01 do od 01.04 do od 01.01 do od 01.04 do 30.06.2022 r. 30.06.2022 r. 30.06.2021 r. 30.06.2021 r.