CREDIT Report ROULARTA MEDIA GROUP
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1 CREDIT Report ROULARTA MEDIA GROUP 09/03/2017 version 2.4
2 ROULARTA MEDIA GROUP General Country Belgium Status Active company Descriptive Name / Business name ROULARTA MEDIA GROUP Trading Name RMG Legal Form Private company limited by shares Address Meiboomlaan ROESELARE Belgium National identification Nr VAT Number Incorporation Date Main Activity Publishing of journals and periodicals Staff more than 999 persons Phone 051/ Fax 051/ info@roularta.be Website VAT Liability YES Last balance sheet published Closure of accounts 31/12 Date of statutory annual general meeting Second Friday of June Page 2 of 11
3 Merge / Acquisitions / Demerges Absorbed Company Type Date GARAGE FLANDRIA Absorbed Company ANGAFIN Absorbed Company BACA Absorbed Company ROULARTA EVENTS Absorbed Company INTERGRAPHIC Absorbed Company INTERREGIONALE MAATSCHAPPY VOOR INFORMATICASERVICE Absorbed Company ROULARTA SOFTWARE AND DEVELOPMENT Absorbed Company ROULARTA Absorbed Company ROULARTA MEDIA GROUP Divided company and acquired by one or more companies BUROFORM Disposal of assets DE BODE Absorbed Company DISTRI MECHELEN Absorbed Company DRUKKERY VAN RIET Absorbed Company FLANDERS RADIO & TV Absorbed Company ADS EXPLOITATIEMAATSCHAPPIJ Absorbed Company REGIONALE TELEVISIE REGIE Absorbed Company VLAAMSE TIJDSCHRIFTEN UITGEVERIJ Absorbed Company TRENDS MAGAZINE Absorbed Company ROULARTA BOOKS Absorbed Company ROULARTA PRINTING Absorbed Company EURO DB Absorbed Company DE STREEKKRANT - DE WEEKKRANTGROEP Absorbed Company PRESS NEWS Absorbed Company ROULARTA BUSINESS LEADS Absorbed Company WEST-VLAAMSE MEDIA GROEP Disposal of assets ROULARTA IT-SOLUTIONS Disposal of assets REGIE DE WEEKKRANT Disposal of assets NEW BIZZ PARTNERS Disposal of assets ROULARTA PUBLISHING Absorbed Company LE VIF MAGAZINE Absorbed Company BIBLO Disposal of assets Credit Advice Score 15 Credit opinion ,53 EUR Score scale 20 Score evolution Balance sheet Summary Cash flow very good Indebtedness very low Profitability good Balance sheet good Commitments respected Incidents no incidents Payments fluid Past Experience favourable Page 3 of 11
4 Analysis of the risk of delay of payment Date Risk Index 03/ / / / / / / / / / / / Type of risk (1) WEAKER RISK OF DELAY OF PAYMENT, close to the European norm of 21 days. (2) WEAKER RISK OF DELAY OF PAYMENT, close to the contractual norms of 30 days. (3) NORMAL / STABLE RISK OF DELAY OF PAYMENT, in the average norms of the sector. (4) MORE IMPORTANT RISK OF DELAY OF PAYMENT, in the higher norms of the sector. (5) MORE IMPORTANT RISK OF DELAY OF PAYMENT, beyond the majority of the norms of the sector. Financial Data(EUR) Header Start date End date Quantity per type Complete outline for companies Complete outline for companies Complete outline for companies Employees number 1.377,00 656,00 666,00 Assets Fixed assets Intangible fixed assets Tangible fixed assets Real estate investment Machines, tools and vehicules Other tangible fixed assets Long term financial assets Long term investment companies and associates Other long term participations Other long term financial assets Current assets Long term receivables Long term trade receivables Other long term receivables Inventories and orders in process Stocks End products Products in progress Payments in advance Orders in process Short term receivables Page 4 of 11
5 Short term trade receivables Other short term receivables Short term financial investments Own shares Other short term investments Cash and other equivalent liquid assets Adjustment accounts Total assets Liabilities Equity Shareholders Equity Capital Registered capital Uncalled capital Share premium Gain revaluation assets Reserves Reserves available for distribution 0 0 Other reserves Profit & loss brought forward Capital subsidies Advances to associates Non current liabilities Long term accruals Deferred taxes Long term debts Financial long term debts Amounts owed by financial institutions Amounts owed by leasing institutions Other financial long term debts Trade long term debts Advances received from contracts in progress Other long term debts Current liabilities Current portion of amounts payable after more than one year Financial short term debts Amounts owed by financial institutions Other financial liabilities within one year Trade short term debts Suppliers Other trade short term debts Advances received on orders in progress Taxes and wages Taxes Wages and social security Other short term debts Adjustment accounts Total of equity and liabilities Profit and loss Recurrent operating income Turnover Increase/decrease stock and contracts in progress Immobilized production Other operating income Operating charges Raw materials, consumables and goods for release Page 5 of 11
6 Purchases Increase / decrease in stocks Services and sundry goods Renumeration, social security charges and pensions Amortization and depreciation Increase / deacrease in amounts written off on stock, orders in progess and trade debtors Provisions for liabilities and charges Other operating charges Operating charges posted to assets as restructuration expenses Operating result Financial income Income from financial fixed assets Income from current assets Other financial income Financial charges Interest and other debt charges Other financial charges Result on ordinary activities before taxes Extraordinary income Extraordinary charges Result before taxes Transfer from / to deferred taxes Taxes Result for the period Profit to be distributed Result brought forward Result transfered to the reserves Analysis Solvency 30,06 16,19 38,93 Net working capital 0,17 0, ,00 EBITDA 0, , ,00 Page 6 of 11
7 Ratios Date of the closure of the accounts Gross margin on sales 6,28 3,77 0,71 Net margin on sales 3,18 2,53-0,13 Rate of value added 37,99 21,74 18,68 Value added on gross tangible long-term assets 136,04 114,73 102,41 Share of staff costs in value added 83,58 81,37 95,23 Part alloc.amort.,.. val. added. 8,25 5,78 4,47 Loads of the debt/value added 5,87 14,68 18,31 Net return on equity 49,94-237,80-31,74 Cash flow on equity 56,24 42,93 5,84 Gross return on total assets 18,76 9,11 3,98 Net return on total assets 16,87-36,34-10,65 Liquidity in the broad sense 113,53 113,69 100,41 Liquidity in the narrow sense 109,92 114,81 100,28 Immediate liquidity 16,53 52,62 29,11 Turnover supplies & merchandise 14,93 495,67 654,37 Turnover work-in-progress & finished goods 478, , ,72 Number of client credit days 69,00 69,00 76,00 Number of supplier credit days 80,00 94,00 102,00 Solvency 30,06 16,19 38,92 Acquis. tangible assets./value added 20,44 1,54 1,09 Acquis. tangible assets./tangible assets 169,47 6,01 3,58 Turnover of inventory & work-in-progress 51,27 686,88 665,70 Currency related to book-year EUR EUR EUR Net working capital , , ,00 Total cash flow before distrib , , ,00 Cash flow statement Publication date General annual board-meeting Currency related to book-year EUR EUR EUR Start of the annual account Date of the closure of the annual accounts Variation of operational treasury difference 2015/ difference 2014/ Profit/loss for the financial year , , , , ,00 Allocations to depreciations or value reductions Stocks and contracts in progress Amounts receivable within one year Amounts payable within one year Variation of operational treasury , , , , , , , , , , , , , , , , , , , , , ,00 - Page 7 of 11
8 Variation of treasury on fixed assets difference 2015/ difference 2014/ Fixed assets (before 2016) , , , , ,00 Allocations to depreciations or value reductions Variation of treasury on fixed assets , , , , , , ,00 - Variation of treasury on financial operations difference 2015/ difference 2014/ Amounts payable after more than one year Amounts receivable after more than one year Variation of treasury on financial operations , , , , , , ,00 0,00 0,00 0, , ,00 - Variation of treasury on equity movements difference 2015/ difference 2014/ Profit/loss for the financial year , , , , ,00 Equity , , , , ,00 Provisions and deferred taxes , , , , ,00 Variation of treasury on FP movements , ,00 - Accruals and deferrals difference 2015/ difference 2014/ Variation on active accruals and deferrals Variation on passive accruals and deferrals Movements on accruals and deferrals , , , , , , , , , , , ,00 - Variation of treasury over the year - difference 2015/2014 difference 2014/ , ,00 Treasury at the end of the year , , ,00 Variation according to the balance sheet - difference 2015/2014 difference 2014/ , ,00 Page 8 of 11
9 Board of directors Director Name / Business name Function Start date End date DE NOLF HENDRIK MARIA JOZEF Chairman of the Board of directors / council of management MANDATUM Vice Chairman of the Board of directors / council of management KOINON Managing Director VERANA Administrator CENNINI HOLDING Administrator ALAUDA Administrator CAROLUS PANIFEX HOLDING Administrator CLAEYS LIEVE ANNA IRMA MARIA Administrator INVEST AT VALUE Administrator Other functions Name / Business name Function Start date End date ROULARTA Partner BIBLO Partner LEXICO BV Partner FLANDERS RADIO & TV DE NOLF CAROLINE Legal Representative DE NOLF FRANCIS Legal Representative BOUCKAERT XAVIER BERNARD Legal Representative VERHAMME MARC Legal Representative CLAEYS JORIS KATELIJN HENDRIK Legal Representative DE JONCKHEERE KOEN GUSTAAF LEA Legal Representative BIKKERS CAREL Legal Representative DELOITTE BEDRIJFSREVISOREN - REVISEURS D'ENTREPRISES Partner Auditor DEHOORNE KURT Representative Auditor DEKEYSER MARIO Representative Auditor Financial links Shareholders Name / Business name ADDRESS Quantity Start date END DATE KOINON 56,14 % CENNINI 15,40 % Page 9 of 11
10 Interests Name / Business name Address Quantity Start date END DATE ROULARTA MEDIA NEDERLAND BV The Netherlands 100,00 % MESTNE REVIJE d.o.o. Slovene 100,00 % ROULARTA SERVICES FRANCE SARL France 100,00 % TVOJ MAGAZIN D.O.O. Croatian 100,00 % ROULARTA HEALTHCARE 100,00 % BELGIAN BUSINESS TELEVISION 100,00 % HIMALAYA 100,00 % VOGUE TRADING VIDEO 74,67 % STORESQUARE 65,00 % ZEEUWS VLAAMS MEDIABEDRIJF BV The Netherlands 51,00 % JM SAILER VERLAG GMBH & CO KG not specified 50,00 % JM SAILER VERLAG GESCHAFTSFUHRUNGS GMBH not specified 50,00 % STUDIO APERI NEGOTIUM 50,00 % SENIOR PUBLICATIONS 50,00 % MEDIALAAN 50,00 % CTR - MEDIA 50,00 % BELGOMEDIA 50,00 % REGIONALE TV MEDIA 50,00 % DE WOONKIJKER 50,00 % REGIONALE MEDIA MAATSCHAPPIJ 50,00 % PROXISTORE 50,00 % SENIOR PUBLICATIONS NEDERLAND BV 50,00 % YELLOWBRICK 35,00 % REPROPRESS 27,10 % TWICE ENTERTAINMENT 25,00 % FEBELMA REGIE 23,10 % EUROCASINO 19,00 % Analysis of the risk of delay of payment Payment behavior 2017 Q1 (%) 2016 Q4 (%) 2016 Q3 (%) 2016 Q2 (%) 2016 Q1 (%) 2015 Q4 (%) 2015 Q3 (%) 2015 Q2 (%) Cy BE Cy BE Cy BE Cy BE Cy BE Cy BE Cy BE Cy BE On time 100,00 83,99 100,00 80,32 26,33 76,50 48,72 80,64 51,47 79,48 16,57 71,84 0,00 72,20 100,00 73,95 Overdue (1-30 days) 0,00 8,52 0,00 10,68 32,93 11,66 22,76 9,70 41,14 10,03 16,58 15,35 0,00 13,95 0,00 15,85 Overdue (31-60 days) 0,00 2,74 0,00 2,61 32,94 3,75 0,00 2,53 2,81 3,34 0,00 3,89 0,00 4,85 0,00 3,36 Overdue (61-90 days) 0,00 1,21 0,00 1,13 7,80 1,77 0,00 1,25 0,00 1,18 0,00 1,46 0,00 1,93 0,00 1,08 Overdue (>90 days) 0,00 3,54 0,00 5,26 0,00 6,32 28,52 5,88 4,58 5,97 66,85 7,46 100,00 7,07 0,00 5,76 Page 10 of 11
11 Debt collection Between 24 en 13 months 12 last months Total Number of invoices Number of suppliers Total amount (EUR) 1.074,79 68, ,30 Collected amount (EUR) 30,00 0,00 30,00 Open amount (EUR) 1.044,79 68, ,30 Number of files in court proceedings Settlements (CBE) List of active offices Name / Business name Number of active offices: 13 Address Roularta Business Information Chemin du Cyclotron LOUVAIN-LA-NEUVE Roularta Local Media Wijnegembaan SCHOTEN Roularta Local Media Technologielaan HEVERLEE Roularta Local Media Zoutelaan KNOKKE Roularta Local Media de Merodelei TURNHOUT Roularta Local Media Walenstraat HASSELT Roularta Local Media Kortrijksesteenweg SINT-DENIJS-WESTREM Roularta Local Media Hopmarkt AALST Roularta Local Media Sint-Jorisstraat BRUGGE ROULARTA MEDIA - RESEARCH - CONFERENCE CENTER - SEMINARS Z. 1 Researchpark ZELLIK Page 11 of 11
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