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)
Interim condensed consolidated financial statements of the CD PROJEKT Group for the period from 1 January to 30 June 2023
(all amounts in PLN thousand, unless stated otherwise)
The attached notes are an integral part of these financial statements
Table of contents
Key financial data of the .......................................................................................................................................................................................................... 6
CD PROJEKT Group ................................................................................................................................................................................................................. 6
Interim condensed consolidated income statement ................................................................................................................................................ 7
Interim condensed consolidated statement of comprehensive income ........................................................................................................... 7
Interim condensed consolidated statement of financial position ........................................................................................................................ 8
Interim condensed statement of changes in consolidated equity ..................................................................................................................... 10
Interim condensed consolidated statement of cash flows ................................................................................................................................... 12
Notes to the interim condensed consolidated financial statements ....................................................................................................................... 14
General Information ......................................................................................................................................................................................................... 15
Consolidation policies ..................................................................................................................................................................................................... 15
Consolidated companies – as at 30 June 2023 ............................................................................................................................................... 15
Subsidiaries .................................................................................................................................................................................................................. 16
Basis of preparation of the interim condensed consolidated financial statements ..................................................................................... 16
Going concern assumption .............................................................................................................................................................................................17
Compliance with the International Financial Reporting Standards.....................................................................................................................17
Amendments to standards or interpretations effective from 1 January 2023 applicable and adopted by the Group ................. 17
Functional currency and presentation currency ...................................................................................................................................................... 18
Functional currency and presentation currency ............................................................................................................................................... 18
Transactions and balances ...................................................................................................................................................................................... 18
Assumption of comparability of the financial statements and changes in accounting policies ............................................................... 18
Presentation changes ................................................................................................................................................................................................ 19
Seasonality or cyclicality of the Group’s operations ........................................................................................................................................ 19
Audit by the registered auditor ..................................................................................................................................................................................... 19
Notes – operating segments of the CD PROJEKT Group ......................................................................................................................................... 20
Operating segments ........................................................................................................................................................................................................ 21
Information on individual operating segments ................................................................................................................................................. 22
Consolidated income statement by segments for the period from 01.01.2023 to 30.06.2023 ........................................................ 23
Consolidated income statement by segments for the period from 01.01.2022 to 30.06.2022* ...................................................... 24
Consolidated statement of financial position by segments as at 30.06.2023 ....................................................................................... 25
Consolidated statement of financial position by segments as at 31.12.2022.......................................................................................... 27
Notes – other explanatory notes to the interim condensed consolidated financial statements ................................................................... 29
Note 1. Description of those items affecting assets, liabilities, equity, net profit or loss and cash flows which
are not typical in terms of their type, size and impact .................................................................................................................................... 30
Note 2. Property, plant and equipment................................................................................................................................................................ 31
Note 3. Intangible assets and expenditure on development projects ...................................................................................................... 33
Note 4. Goodwill ......................................................................................................................................................................................................... 34
Note 5. Investment properties ............................................................................................................................................................................... 34
Note 6. Inventories .................................................................................................................................................................................................... 35
Note 7. Trade and other receivables ................................................................................................................................................................... 35
Note 8. Other financial assets ................................................................................................................................................................................. 37
Note 9. Prepayments and deferred costs .......................................................................................................................................................... 38
Note 10. Deferred income tax ................................................................................................................................................................................ 39
Note 11. Share capital ................................................................................................................................................................................................. 41
Note 12. Provision for retirement and similar benefits ..................................................................................................................................... 41
Note 13. Other provisions ........................................................................................................................................................................................ 42
Note 14. Other liabilities ........................................................................................................................................................................................... 42
Note 15. Deferred income ....................................................................................................................................................................................... 43
Note 16. Information on financial instruments ................................................................................................................................................... 43
Note 17. Sales revenue ............................................................................................................................................................................................. 45
Note 18. Operating expenses................................................................................................................................................................................. 46
Note 19. Other operating income and expenses .............................................................................................................................................. 47
Note 20. Finance income and costs .................................................................................................................................................................... 48
Note 21. Leases of low-value assets and short-term leases ......................................................................................................................... 48
Note 22. Issuance, redemption and repayment of debt and equity securities ...................................................................................... 49
Note 23. Dividend paid (or declared) and received ........................................................................................................................................ 49
Note 24. Transactions with related entities ....................................................................................................................................................... 49
Note 25. Unpaid loans or defaults on loan agreements in the cases where no corrective measures were adopted
by the balance sheet date ....................................................................................................................................................................................... 51
Note 26. Changes in contingent liabilities or contingent assets which occurred after the end of the last financial year ........ 52
Note 27. Changes in the structure of the Group and Group companies during the reporting period ............................................ 54