ORANGEPL

RR

  - adjusted

POLISH FINANCIAL SUPERVISION AUTHORITY

Annual report RR for the year 2021

                                                                                                 (year)

(according to par. 60 s. 1 pkt 3 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 2021, i.e. from 1 January 2021 to 31 December 2021

including, separate financial statements prepared under: IAS

in currency: PLN

date of issuance: 16 February 2022

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)

KPMG Audyt Sp. z o.o. Sp. komandytowa

(auditor)

Polish Financial Supervision Authority

1

ORANGEPL

RR

PLN ‘000

EUR ‘000

SELECTED FINANCIAL DATA

    

2021

  

  

2020

  

  

2021

  

  

2020

I. Revenue

 

10,601,000

 

10,479,000

 

2,315,893

 

2,342,095

II. Operating income

 

1,402,000

 

382,000

 

306,281

 

85,378

III. Profit before income tax

 

1,148,000

 

57,000

 

250,792

 

12,740

IV. Net income

 

916,000

 

47,000

 

200,109

 

10,505

V. Earnings per share (in PLN/EUR) (basic and diluted)

 

0.70

 

0.04

 

0.15

 

0.01

VI. Weighted average number of shares (in millions)

 

1,312

 

1,312

 

1,312

 

1,312

VII. Total comprehensive income

 

1,223,000

 

34,000

 

267,176

 

7,599

VIII. Net cash provided by operating activities

 

3,025,000

 

2,977,000

 

660,841

 

665,370

IX. Net cash used in investing activities

 

(1,111,000)

 

(2,082,000)

 

(242,709)

 

(465,334)

X. Net cash used in financing activities

 

(1,329,000)

 

(941,000)

 

(290,333)

 

(210,317)

XI. Net change in cash and cash equivalents

 

585,000

 

(46,000)

 

127,799

 

(10,281)

 

Balance as at

 

Balance as at

 

Balance as at

 

Balance as at

 

31/12/2021

 

31/12/2020

 

31/12/2021

 

31/12/2020

XII. Total current assets

 

3,647,000

 

2,991,000

 

792,930

 

648,132

XIII. Total non-current assets

 

21,191,000

 

20,913,000

 

4,607,340

 

4,531,724

XIV. Total assets

 

24,838,000

 

23,904,000

 

5,400,270

 

5,179,856

XV. Total current liabilities

 

3,992,000

 

7,399,000

 

867,940

 

1,603,320

XVI. Total non-current liabilities

 

9,079,000

 

5,972,000

 

1,973,953

 

1,294,097

XVII. Total equity

 

11,767,000

 

10,533,000

 

2,558,377

 

2,282,439

XVIII. Share capital

 

3,937,000

 

3,937,000

 

855,981

 

853,125

The statement of financial position data as at 31 December 2021 and 2020 presented in the table “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 income statement data, together with the statement of comprehensive income and statement of cash flows data for the years ended 31 December 2021 and 2020, were translated into EUR at an exchange rates which are the arithmetical average of the average NBP rates published by the NBP on the last day of each month of the years ended 31 December 2021 and 2020.

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

1 EUR

    

31 December 2021

    

31 December 2020

 

Statement of financial position

 

4.5994

PLN

 

4.6148

PLN

Income statement, statement of comprehensive income, statement of cash flows

 

4.5775

PLN

 

4.4742

PLN

Polish Financial Supervision Authority

2