Declaration regarding the Financial Statements of HAIDEMENOS INTEGRATED PRINTING SERVICES S.A as at 30.06.2026.
(Business Registry No 121638160000)
As per the article 4.1.1 of the corresponding Regulation of the Euronext Athens and the Directive No 25 of the Stock Markets Steering Committee of Euronext Athens, “HAIDEMENOS INTEGRATED PRINTING SERVICES S.A.” (the Company) proceeds with the following declaration regarding the Company’s audited Financial Statements as at 30/06/2026.
COMPANY
01/01/2026 01/01/2025
30/06/2026 31/12/2025
Non-current assets 14.545.144 14.716.887
Current assets 11.453.146 9.776.335
Liabilities 12.092.170 11.411.918
Equity 13.906.120 13.081.304
01/01/2026 30/06/2026 | 01/01/2025 30/06/2025 |
Revenue 11.221.418 9.314.704
EBITDA 1.441.756 406.185
Profit before Tax 813.652 (194.776)
Profitafter Tax 824.816 (191.587)
Other financial information & disclosures:
Annual turnover increased by 20% at 30.6 2026 compared to the previous period with total revenues of €11.221.418 at 30.6.2026 and € 9.314.704 at 30.6.2025. . The increase in the company’s turnover is due to increased printing jobs for existing clients.
Company’s gross profit for the period 01.01.2026-30.06.2026 were € 2.576.800 compared to € 1.449.872 for the period 01.01.2025-30.06.2025.
Earnings before interest, taxes, depreciation and amortization (EBITDA) amounted to € 1.441.756 compared to € 406.185 for the period 01.01.2025-30.06.2025
Regarding the Company’s results before taxes, profit amounted to € 813.652 for the period 01.01.2026-30.06.2026 compared to losses of (€194.776) for the period 01.01.2025-30.06.2025 .
The Company’s results after taxes for the period 01.01.2026-30.06.2026 amounted to profit of €824.816 compared to losses of € (191.587) for the period 01.01.2025-30.06.2025 .
The Company’s Financial Statements as at 30/06/2026 will be published on the official website of Euronext Athens (www.athens.euronext.com) and the Company’s official website (www.haidemenos.gr) on September 28,2026