TIDMZAIM

RNS Number : 1941O

Adalan Ventures PLC

29 September 2023

Not for release or distribution, directly or indirectly, within, into or in the United States or to or for the account or benefit of persons in the United States, Australia, Canada, Japan or any other jurisdiction where such offer or sale would violate the relevant securities laws of such jurisdiction.

For Immediate Release

29 September 2023

Adalan Ventures Plc

("Adalan" or the "Company")

Unaudited interim results

Adalan Ventures plc (the 'Company' or 'Adalan'), announces its unaudited annual results for the 6 months ended 30 June 2023

Adalan Ventures plc

Interim Condensed Consolidated Statement of profit or loss and Other Comprehensive Income for the six months ended 30 June

 
                                                                          Six months 
                                                              Six months       ended 
                                                                   ended          30 
                                                                 30 June        June 
                                                                    2023        2022 
                                                               Unaudited   Unaudited 
                                                      Notes      GBP'000     GBP'000 
----------------------------------------------------  ------  ----------  ---------- 
 
Other income                                                           -          55 
Charge for share options granted                                       -         (3) 
Administrative expenses                                             (10)       (180) 
exchange gains                                                                     3 
------------------------------------------------------------  ----------  ---------- 
Loss before income tax                                              (10)       (125) 
 
  Income tax expense                                                   -           - 
----------------------------------------------------  ------  ----------  ---------- 
                                                                    (1 0 
Net loss                                                               )       (125) 
 
Net other comprehensive income that may be 
 reclassified to profit or loss 
Foreign exchange differences arising on translation 
 into presentation currency                                            -           - 
 
                                                                    (1 0 
Total comprehensive loss                                               )       (125) 
------------------------------------------------------------  ----------  ---------- 
 

Adalan Ventures plc

Interim Condensed Consolidated Statement of financial position as at

 
                                       30 June  31 December 
                                          2023        202 2 
                                     Unaudited      Audited 
                            Notes      GBP'000      GBP'000 
--------------------------  ------  ----------  ----------- 
 
 
Assets: 
Cash and cash equivalents                   29           35 
Total Assets                                29           35 
----------------------------------  ----------  ----------- 
 
 
 
 
 
  Liabilities 
Other liabilities                        (377)        (374) 
----------------------------------  ----------  ----------- 
Total liabilities                        (377)        (374) 
----------------------------------  ----------  ----------- 
Net Assets                               (348)        (339) 
----------------------------------  ----------  ----------- 
 
 
 
  Equity 
Capital and reserves: 
Charter capital                8 4, 62 0     4,620 
Shares to be issued Reserve          800       800 
Additional capital             8  6,7 56     6,756 
Share options Reserve               2 48       248 
Accumulated deficit             (12,772)  (12,761) 
Total equity                       (348)     (339) 
-----------------------------   --------  -------- 
Total liabilities and equity          29        35 
-----------------------------   --------  -------- 
 

Interim Condensed Statement of changes in shareholders' equity (Unaudited) for the six months ended 30 June 2023 (unaudited)

 
 
                                                             Additional                         Accumulated      Total 
                      Charter capital   Shares to be issued     capital      Share options          Deficit     Equity 
                              GBP'000               Reserve     GBP'000         Reserve             GBP'000    GBP'000 
--------------------  ---------------  --------------------  ----------  --------------------  ------------  --------- 
 Balance as at 1 
  January 2023                  4,620                   800       6,756           248              (12,761)      (339) 
--------------------  ---------------  --------------------  ----------  --------------------  ------------  --------- 
 Issue of ordinary                                        -                                 - 
 shares                             -                                 -                                   -          - 
 Comprehensive loss 
  for the period                    -                     -           -                     -        ( 10 )       (10) 
 Share-based 
 payments                           -                     -           -            -                      -          - 
--------------------  ---------------  --------------------  ----------  --------------------  ------------  --------- 
 
 Balance as at 30 
  June 2023                     4,620                   800       6,756           248              (12,772)      (348) 
--------------------  ---------------  --------------------  ----------  --------------------  ------------  --------- 
 

Interim Condensed Consolidated Statement of Cash Flows

For the six months ended 30 June

 
                                                  Six months  Six months 
                                                    ended 30    ended 30 
                                                   June 2023   June 2022 
                                                   Unaudited   Unaudited 
                                                     GBP'000     GBP'000 
------------------------------------------------  ----------  ---------- 
 
Cash flows from operating activities 
Loss for the period                                     (10)       (125) 
Non cash items - Share based payments                      -           3 
------------------------------------------------  ----------  ---------- 
Cash from operations                                    (10)       (122) 
------------------------------------------------  ----------  ---------- 
 
Net (increase)/decrease in operating assets 
Change in receivables                                               (30) 
Change in payables                                         4          92 
Net change in working capital                              4          63 
------------------------------------------------  ----------  ---------- 
Net cash flows from operating activities                 (6)        (59) 
------------------------------------------------  ----------  ---------- 
Net change in cash and cash equivalents                  (6)        (59) 
 
  Cash and cash equivalents at the beginning of 
  the year                                                35         212 
------------------------------------------------  ----------  ---------- 
Cash and cash equivalents at the end of the 
 period                                                   29         152 
------------------------------------------------  ----------  ---------- 
 

2. Basis of preparation

The condensed consolidated interim financial statements have been prepared using accounting policies consistent with International Financial Reporting Standards and in accordance with International Accounting Standard 34 Interim Financial Reporting. The condensed interim financial statements should be read in conjunction with the annual financial statements for the year ended 31 December 2022, which have been prepared in accordance with International Financial Reporting Standards (IFRS).

The condensed consolidated interim financial statements set out above do not constitute statutory accounts within the meaning of the Companies Act 2006. They have been prepared on a going concern basis in accordance with the recognition and measurement criteria of International Financial Reporting Standards (IFRS). Statutory financial statements for the year ended 31 December 2022 were approved by the Board of Directors on 31 August 2023 and delivered to the Registrar of Companies. The report of the auditors on those financial statements was unqualified.

The condensed consolidated interim financial statements of the Company have not been audited or reviewed by the Company's auditor, Shipley's LLP.

Going concern

The Financial Statements have been prepared on a going concern basis. T he Directors consider that the Company requires additional funding in order to deliver on its plan to find and acquire an operating business and undertake a reverse take over. The Directors are of the view that its current cash reserves along with any funding that it will seek to raise would provide sufficient funds to undertake its operating activities for the foreseeable future. Should the company be unsuccessful in raising additional capital then there is a significant risk that it has the ability to continue as a going concern. The company has currently reduced its cash expenditure to a minimum.

Please refer to the going concern note in the annual report for the year ended 31 December 2022 for further information.

   Further information can be found at the corporate website:   https://adalanventures.com/ 

Enquiries:

 
 
  Adalan Ventures Plc 
Siro Cicconi 
                             Tel: +44 (0) 73 9377 9849 
 
 
Optiva Securities Limited 
Vishal Balasingham         Tel: +44 (0) 20 3137 1902 
 
 
 

The information contained within this announcement is deemed by the Company to constitute inside information as stipulated under the Market Abuse Regulations (EU) No. 596/2014 ("MAR").

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END

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September 29, 2023 06:42 ET (10:42 GMT)

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