ORANGEPL

SRR

  - adjusted

POLISH FINANCIAL SUPERVISION AUTHORITY

Consolidated annual report SRR for the year 2020

                                                                                                                                          (year)

(according to par. 60 s. 2 of the Decree on current and periodic information)
for the issuers in sectors of production, construction, trade or services

(type of issuer)

for the year 2020, i.e. from 1 January 2020 to 31 December 2020

including, consolidated financial statements prepared under: IAS endorsed in the EU
in currency: PLN
date of issuance: 17 February 2021

ORANGE POLSKA SA

(full name of issuer)

ORANGEPL

Telecommunication (tel)

(abbreviated name of the issuer)

(classification according to WSE/sector)

02-326

Warsaw

(post code)

(location)

Al. Jerozolimskie

160

(street)

(number)

22 527 23 23

22 527 23 41

(telephone)

(fax)

investors@orange.com

www.orange.pl

(e-mail)

(www)

526-02-50-995

012100784

(NIP)

(REGON)

259400TOMPUOLS65II22

0000010681

(LEI)

(KRS)

Ernst & Young Audyt Polska Sp. z o.o. Sp. komandytowa

(auditor)

Polish Financial Supervision Authority

1

ORANGEPL

SRR

PLN ‘000

EUR ‘000

SELECTED FINANCIAL DATA

  

2020

  

  

2019

  

  

2020

  

  

2019

I. Revenue

 

11,508,000

 

11,406,000

 

2,572,080

 

2,651,448

II. Operating income

 

404,000

 

415,000

 

90,295

 

96,471

III. Profit before income tax

 

62,000

 

107,000

 

13,857

 

24,873

IV. Net income

 

46,000

 

82,000

 

10,281

 

19,062

V. Net income attributable to owners of Orange Polska S.A.

 

46,000

 

82,000

 

10,281

 

19,062

VI. Earnings per share (in PLN/EUR)

 

0.04

 

0.06

 

0.01

 

0.01

VII. Weighted average number of shares (in millions)

 

1,312

 

1,312

 

1,312

 

1,312

VIII. Total comprehensive income

 

33,000

 

54,000

 

7,376

 

12,553

IX. Total comprehensive income attributable to owners of Orange Polska S.A.

 

33,000

 

54,000

 

7,376

 

12,553

X. Net cash provided by operating activities

 

3,005,000

 

2,858,000

 

671,628

 

664,373

XI. Net cash used in investing activities

 

(2,064,000)

 

(1,919,000)

 

(461,311)

 

(446,092)

XII. Net cash used in financing activities

 

(989,000)

 

(1,146,000)

 

(221,045)

 

(266,400)

XIII. Net change in cash and cash equivalents

 

(48,000)

 

(207,000)

 

(10,728)

 

(48,119)

 

Balance as at
31/12/2020

 

Balance as at
31/12/2019

 

Balance as at
31/12/2020

 

Balance as at
31/12/2019

XIV. Total current assets

 

3,363,000

 

3,493,000

 

728,742

 

820,242

XV. Total non-current assets

 

20,937,000

 

21,429,000

 

4,536,925

 

5,032,053

XVI. Total assets

 

24,300,000

 

24,922,000

 

5,265,667

 

5,852,295

XVII. Total current liabilities

 

7,637,000

 

4,191,000

 

1,654,893

 

984,149

XVIII. Total non-current liabilities

 

6,064,000

 

10,174,000

 

1,314,033

 

2,389,104

XIX. Total equity

 

10,599,000

 

10,557,000

 

2,296,741

 

2,479,042

XX. Equity attributable to owners of Orange Polska S.A.

 

10,597,000

 

10,555,000

 

2,296,308

 

2,478,572

XXI. Share capital

 

3,937,000

 

3,937,000

 

853,125

 

924,504

The consolidated statement of financial position data as at 31 December 2020 and 2019 presented in the “Selected financial data” was translated into EUR at the average exchange rates of the National Bank of Poland (“NBP”) at the end of the reporting period. The consolidated income statement data, together with the consolidated statement of comprehensive income and consolidated statement of cash flows data for the years ended 31 December 2020 and 2019, were the translated into EUR at an exchange rates which is the arithmetical average of the average NBP rates published by the NBP on the last day of each month of years ended 31 December 2020 and 2019.

The exchange rates used in translation of consolidated statement of financial position, consolidated income statement, consolidated statement of comprehensive income and consolidated statement of cash flows data are presented below:

1 EUR

    

31 December 2020

    

31 December 2019

 

Consolidated statement of financial position

 

4.6148

PLN

 

4.2585

PLN

Consolidated income statement, consolidated statement of comprehensive income, consolidated statement of cash flows

 

4.4742

PLN

 

4.3018

PLN

Polish Financial Supervision Authority

2