Annual financial statements of HHLA AG

The Annual Financial Statements and Combined Management Report of Hamburger Hafen und Logistik Aktiengesellschaft, Hamburg, for the 2020 financial year have been prepared according to the provisions of German commercial law and have been endorsed with an unqualified auditor’s opinion by the auditors of PricewaterhouseCoopers GmbH Wirtschaftsprüfungsgesellschaft.

Income statement for the period from 1 January to 31 December 2020

in €

 

2020

 

2019

Revenue

 

133,493,943.37

 

135,967,384.49

Increase or decrease in work in progress

 

105,468.11

 

109,495.96

Own work capitalised

 

655,771.79

 

1,957,070.30

Other operating income

 

1,984,131.21

 

1,975,209.15

of which income from translation differences

 

35,790.60

 

27,699.45

Cost of materials

 

13,289,876.55

 

12,976,431.36

Expenses for raw materials, consumables, supplies and purchased merchandise

 

6,649,719.08

 

6,117,010.40

Expenses for purchased services

 

6,640,157.47

 

6,859,420.96

Personnel expenses

 

105,629,192.12

 

104,517,016.02

Wages and salaries

 

92,061,979.17

 

93,420,439.17

Social security contributions and expenses for pension and similar benefits

 

13,567,212.95

 

11,096,576.85

of which for pensions

 

- 1,688,757.89

 

- 4,040,547.65

Depreciation and amortisation on intangible fixed assets and property, plant and equipment

 

4,741,915.26

 

4,284,374.49

Other operating expenses

 

84,428,005.94

 

45,419,995.05

of which expenses from translation differences

 

42,539.21

 

45,202.10

Income from profit transfer agreements

 

62,462,586.74

 

76,635,365.54

Income from equity participations

 

52,975,480.68

 

75,927,461.35

of which from affiliated companies

 

48,731,638.03

 

71,322,068.73

Other interest and similar income

 

3,910,849.49

 

3,273,618.09

of which from affiliated companies

 

3,868,910.52

 

3,257,748.45

Depreciation and amortisation on financial assets

 

166,488.30

 

1,354.41

Expenses from assumed losses

 

20,541,820.77

 

9,180,190.35

Interest and similar expenses

 

27,636,182.32

 

31,813,989.43

of which from accrued interest

 

24,219,021.54

 

28,635,598.85

Taxes on income

 

- 11,860,691.87

 

11,730,494.82

of which income from the change unrecognised taxes

 

23,136,730.52

 

5,970,245.62

Profit after tax

 

11,015,442.00

 

75,921,758.95

Other taxes

 

160,501.03

 

163,378.44

Net profit for the year

 

10,854,940.97

 

75,758,380.51

Profit carried forward from the previous year

 

219,363,530.44

 

205,323,667.13

Dividend distributed

 

54,713,633.80

 

61,718,517.20

Unappropriated profit

 

175,504,837.61

 

219,363,530.44

Balance sheet as of 31 December 2020

in €

 

31.12.2020

 

31.12.2019

ASSETS

 

 

 

 

 

 

 

 

 

Intangible assets

 

 

 

 

Internally generated industrial and similar rights and values

 

7,554,946.10

 

8,292,258.01

Purchased software

 

667,840.50

 

1,297,897.46

Assets in development

 

15,360,344.10

 

14,038,255.68

 

 

23,583,130.70

 

23,628,411.15

Property, plant and equipment

 

 

 

 

Land, equivalent land rights and buildings, including buildings on leased land

 

4,308,873.28

 

5,021,265.41

Technical equipment and machinery

 

969,190.94

 

1,033,230.27

Other plant, operating and office equipment

 

3,272,261.95

 

2,723,386.93

Payments made on account and plant under construction

 

385,148.22

 

0.00

 

 

8,935,474.39

 

8,777,882.61

Financial assets

 

 

 

 

Interests in affiliated companies

 

426,119,324.71

 

428,621,877.58

Loans to affiliated companies

 

5,500,000.00

 

6,000,000.00

Equity investments

 

9,364,387.19

 

9,165,875.49

Non-current securities

 

715,785.13

 

688,137.55

 

 

441,699,497.03

 

444,475,890.62

Non-current assets

 

474,218,102.12

 

476,882,184.38

 

 

 

 

 

Inventories

 

 

 

 

Raw materials, consumables and supplies

 

245,314.50

 

177,887.75

Work in progress

 

747,312.27

 

641,844.16

 

 

992,626.77

 

819,731.91

Receivables and other assets

 

 

 

 

Trade receivables

 

1,079,427.43

 

1,562,395.25

Receivables from the Free and Hanseatic City of Hamburg

 

250.00

 

0.00

Receivables from the HGV Hamburger Gesellschaft für Vermögens- und Beteiligungsmanagement mbH, Hamburg

 

82,000,000.00

 

95,000,000.00

Receivables from affiliated companies

 

468,521,236.06

 

436,698,236.72

Receivables from investee companies

 

0.00

 

30,000.00

Other assets

 

8,211,348.89

 

9,494,861.65

thereof with a maturity of more than one year

 

66,568.00

 

11,204.00

 

 

559,812,262.38

 

542,785,493.62

 

 

 

 

 

Cash and cash equivalents

 

92,754,484.24

 

112,276,338.48

Current assets

 

653,559,373.39

 

655,881,564.01

 

 

 

 

 

Accruals and deferrals

 

1,024,319.17

 

678,921.92

 

 

 

 

 

Deferred tax assets

 

86,642,059.56

 

61,963,762.26

Balance sheet total

 

1,215,443,854.24

 

1,195,406,432.57

 

 

 

 

 

EQUITY AND LIABILITIES

 

 

 

 

Equity

 

 

 

 

Subscribed capital

 

 

 

 

Port Logistics subgroup

 

71,700,215.00

 

70,048,834.00

Real Estate subgroup

 

2,704,500.00

 

2,704,500.00

 

 

74,404,715.00

 

72,753,334.00

Capital reserve

 

 

 

 

Port Logistics subgroup

 

160,285,484.69

 

136,771,470.63

Real Estate subgroup

 

506,206.26

 

506,206.26

 

 

160,791,690.95

 

137,277,676.89

Statutory reserve

 

 

 

 

Port Logistics subgroup

 

5,125,000.00

 

5,125,000.00

Real Estate subgroup

 

205,000.00

 

205,000.00

 

 

5,330,000.00

 

5,330,000.00

Other earnings reserves

 

 

 

 

Port Logistics subgroup

 

57,218,380.36

 

56,105,325.36

Real Estate subgroup

 

1,322,353.86

 

1,322,353.86

 

 

58,540,734.22

 

57,427,679.22

Retained earnings

 

63,870,734.22

 

62,757,679.22

Unappropriated profit

 

 

 

 

Port Logistics subgroup

 

137,107,716.31

 

181,303,432.76

Real Estate subgroup

 

38,397,121.30

 

38,060,097.68

 

 

175,504,837.61

 

219,363,530.44

Equity

 

474,571,977.78

 

492,152,220.55

Provisions

 

 

 

 

Provisions for pensions and similar obligations

 

334,760,818.15

 

330,109,748.67

Tax provisions

 

2,107,471.28

 

3,433,423.21

Other provisions

 

87,512,153.67

 

47,072,415.24

 

 

424,380,443.10

 

380,615,587.12

Liabilities

 

 

 

 

Liabilities from bank loans

 

166,180,586.77

 

166,203,904.87

Payments on account

 

709,028.27

 

586,458.16

Trade liabilities

 

3,428,756.93

 

3,484,713.57

Liabilities towards the Free and Hanseatic City of Hamburg

 

9,946.67

 

558.79

Liabilities towards affiliated companies

 

82,738,215.55

 

78,202,268.88

Liabilities towards investee companies

 

6,254,298.23

 

3,892,730.35

Other liabilities

 

47,348,407.76

 

60,874,308.88

of which from taxes

 

8,467,933.09

 

2,656,592.42

of which for social security

 

291,858.39

 

453,238.79

 

 

306,669,240.18

 

313,244,943.50

Deferred tax liabilities

 

9,822,193.18

 

9,393,681.40

Balance sheet total

 

1,215,443,854.24

 

1,195,406,432.57