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Annual Report 2016

Note

Carrying amounts

  As at 31.12.2016 As at 31.12.2015* restated
Land 26 297 24 740
Mineral deposits 52 426 55 534
Buildings and structures 1 914 397 1 881 080
Technical devices and machines 2 717 988 2 595 316
Vehicles 123 387 127 669
Other 105 529 109 451
  4 940 024 4 793 790
Property, plant and equipment under construction 1 447 799 870 657
  6 387 823 5 664 447

*  Financial information restated as presented in point 2.3 of the notes to the consolidated financial statements.

Carrying amounts of property, plant and equipment

  Land Mineral deposits Buildings and structures Technical devices and machines Vehicles Other Property, plant and equipment under construction Total
Carrying amount as at 01.01.2016*, restated 24 740 55 534 1 881 080 2 595 316 127 669 109 451 870 657 5 664 447
Additions, including: 1 862 - 164 813 446 901 19 461 22 537 1 232 682 1 888 256
Additions through purchases, construction, transfer to use 1 790 - 160 020 435 033 13 741 22 299 1 231 785 1 864 668
Additions through finance lease agreements - - - 3 200 4 913 174 799 9 086
Reversal and utilisation of impairment loss - - 2 455 1 868 256 21 72 4 672
Reclassification from investment property - - 517 - - - - 517
Effect of movements in exchange rates 72 - 429 2 282 33 26 3 2 845
Other additions - - 1 392 4 518 518 17 23 6 468
Deductions, including: (-) (305) (3 108) (131 496) (324 229) (23 743) (26 459) (655 540) (1 164 880)
Depreciation - (3 108) (116 201) (313 786) (21 683) (26 271) - (481 049)
Disposals (195) - (16) (451) (779) (36) - (1 477)
Liquidation - - (4 284) (2 087) (857) (64) (702) (7 994)
Transfer to use - - - - - - (640 067) (640 067)
Recognised impairment loss - - (5 419) (6 116) (48) (83) (13 923) (25 589)
Reclassification to investment property - - (3 553) (224) - - - (3 777)
Other deductions (110) - (2 023) (1 565) (376) (5) (848) (4 927)
Carrying amount as at 31.12.2016 26 297 52 426 1 914 397 2 717 988 123 387 105 529 1 447 799 6 387 823

 * Financial information restated as presented in point 2.3 of the notes to the consolidated financial statements.

Carrying amounts of property, plant and equipment

  Land Mineral deposits Buildings and structures Technical devices and machines Vehicles Other Property, plant and equipment under construction Total
Carrying amount at 01.01.2015* restated 21 708 58 319 1 815 832 2 444 008 133 164 105 316 553 731 5 132 078
Additions, including: 3 237 - 195 499 476 239 27 029 28 520 1 013 308 1 743 832
Additions through purchases, construction, transfer to use 3 218 - 190 230 455 596 19 395 28 478 1 010 740 1 707 657
Additions through finance lease agreements - - - 1 124 7 617 39 886 9 666
Reversal and utilisation of impairment loss - - 575 2 682 17 3 150 3 427
Reclassification from investment property - - 3 054 22 - - - 3 076
Other additions 19 - 1 640 16 815 - - 1 532 20 006
Deductions, including: (-) (205) (2 785) (130 251) (324 931) (32 524) (24 385) (696 382) (1 211 463)
Depreciation - (2 785) (106 234) (282 771) (21 523) (24 062) - (437 375)
Disposals (24) - (276) (1 100) (287) (34) (248) (1 969)
Liquidation - - (1 500) (7 380) (2 019) (32) (65) (10 996)
Transfer to use - - - - - - (687 096) (687 096)
Recognised impairment loss (181) - (16 084) (29 787) (8 417) (149) (4 608) (59 226)
Reclassification to investment property - - (559) - - - (1 288) (1 847)
Effect of movements in exchange rates - - (11) (85) (5) (3) - (104)
Other deductions - - (5 587) (3 808) (273) (105) (3 077) (12 850)
Carrying amount at 31.12.2015* restated 24 740 55 534 1 881 080 2 595 316 127 669 109 451 870 657 5 664 447

 * Financial information restated as presented in point 2.3 of the notes to the consolidated financial statements.

Gross carrying amount of property, plant and equipment

  Land Mineral deposits Buildings and structures Technical devices and machines Vehicles Other Property, plant and equipment under construction Total
Balance as at 31.12.2016                
Gross carrying amount 27 696 60 916 2 867 195 4 973 188 265 243 242 564 1 517 993 9 954 795
Accumulated depreciation (-) - (8 490) (901 459) (2 143 146) (97 000) (136 509) - (3 286 604)
Impairment loss (-) (1 399) - (51 339) (112 054) (44 856) (526) (70 194) (280 368)
Carrying amount as at 31.12.2016 26 297 52 426 1 914 397 2 717 988 123 387 105 529 1 447 799 6 387 823
Balance as at 31.12.2015*, restated                
Gross carrying amount 26 139 60 916 2 713 957 4 549 017 255 650 223 629 927 000 8 756 308
Accumulated depreciation (-) - (5 382) (784 502) (1 845 895) (82 917) (113 714) - (2 832 410)
Impairment loss (-) (1 399) - (48 375) (107 806) (45 064) (464) (56 343) (259 451)
Carrying amount as at 31.12.2015*, restated 24 740 55 534 1 881 080 2 595 316 127 669 109 451 870 657 5 664 447

* Financial information restated as presented in point 2.3 of the notes to the consolidated financial statements.

Impairment losses

  Land Buildings and structures Technical devices and machines Vehicles Other Property, plant and equipment under construction Total
Impairment loss as at 01.01.2016 1 399 48 375 107 806 45 064 464 56 343 259 451
Impairment recognised in the statement of profit or loss - 5 419 6 116 48 83 13 923 25 589
Reversal/ utilisation of impairment recognised in the statement of profit or loss (-) - (2 455) (1 868) (256) (21) (72) (4 672)
Impairment loss as at 31.12.2016 1 399 51 339 112 054 44 856 526 70 194 280 368
Impairment loss as at 01.01.2015 1 218 32 866 80 701 36 664 318 51 885 203 652
Impairment recognised in the statement of profit or loss 181 16 084 29 787 8 417 149 4 608 59 226
Reversal / utilisation of impairment recognised in the statement of profit or loss (-) - (575) (2 682) (17) (3) (150) (3 427)
Impairment loss as at 31.12.2015*, restated 1 399 48 375 107 806 45 064 464 56 343 259 451

 * Financial information restated as presented in point 2.3 of the notes to the consolidated financial statements.

In 2016, the Group capitalised borrowing costs related to the acquisition of property, plant and equipment of PLN 10 319 thousand (2015: PLN 5 790 thousand).

In the reporting period, the Group recognised impairment loss on property, plant and equipment of PLN 25 589 thousand (2015: PLN 59 226 thousand) presented in other operating expenses. The amount consists of:

In 2015, the impairment losses were recognised for:

Other impairment losses concerned property, plant and equipment which are not in use and will be put into liquidation in the foreseeable future or will be physically liquidated. The utilisation of impairment allowances applies to property, plant and equipment that were put into liquidation, were removed or sold and for which impairment had previously been recognised.

There were no indications in the current period that the impairment recognised in prior years for polioxymethylene (POM) installation (Plastics segment) may cease to exist and needs to be reversed.

Property, plant and equipment under construction

The most significant items of property, plant and equipment under construction included:

Leased assets

  As at 31.12.2016 As at 31.12.2015
Carrying amount of assets leased under finance lease 33 196 21 890

The Group leases under finance leases mainly computers, IT infrastructure, catalysts and vehicles including locomotives, carriages, passenger cars and fork lifts.

Security

As at 31 December 2016, the carrying amount of property, plant and equipment pledged as security for bank loans amounted to PLN 20 726 thousand (31 December 2015: PLN 26 120 thousand).

Liability title / type of security As at 31.12.2016 As at 31.12.2015
Bank loan/ mortgage 14 138 21 184
Bank loan/ registered pledge 6 588 4 936
  20 726 26 120


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