MIRA INFORM REPORT

 

 

Report Date :

12.11.2007

 

IDENTIFICATION DETAILS

 

Name :

MOL Magyar Olaj- és Gázipari           

 

 

Registered Office :

Nyilvánosan Működő Részvénytársaság, 1117 Budapest, Október huszonharmadika, u. 18.

 

 

Country :

Hungary

 

 

Date of Incorporation :

10/01/1991

 

 

Legal Form :

Company limited by shares                                      

 

 

Line of Business :

Manufacture of refined petroleum products                      

 

 

RATING & COMMENTS

 

MIRA’s Rating :

A

 

RATING

STATUS

PROPOSED CREDIT LINE

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

Fairly Large

 

Status :

Good

 

 

Payment Behaviour :

Regular

 

 

Litigation :

Clear

 

 


name & address

                                                                               

MOL Magyar Olaj- és Gázipari           

Nyilvánosan Működő Részvénytársaság    

1117 Budapest, Október huszonharmadika 

u. 18.                                 

Phone:              +36-1-2090000                   

Telefax:             +36-1-2090095                 

Web:                www.mol.hu                        

 

 

Legal form

 

Company limited by shares                                       

 

 

Established on

 

10/01/1991 - Company limited by shares                         

 

Legal predecessor:                                             

ÁFOR Ásványolajforgalmi Vállalat                        Transformation 

CrefoNr.: 931 0500273                                           

RegNr.: 01 01 003257                                           

1450 Budapest, Közraktár u. 30.                                

Dunai Kőolajipari Vállalat                                    Transformation 

CrefoNr.: 931 0579283                                           

RegNr.: 13 01 007096                                           

2243 Százhalombatta, . . .                                     

Gáz- és Olajszállító Vállalat                                Transformation 

CrefoNr.: 931 0588183                                           

RegNr.: 14 01 000201                                           

8600 Siófok, Tanácsház u. 5.                                   

Geofizikai Kutató Vállalat                                    Transformation 

CrefoNr.: 931 0500523                                          

RegNr.: 01 01 003431                                           

1068 Budapest, Gorkij fasor 42.                                

Komáromi Kőolajipari Vállalat                              Transformation 

CrefoNr.: 931 0574436                                          

RegNr.: 11 01 000619                                           

2900 Komárom, Kőolaj út 2.                                     

Kőolaj és Földgázbányászati Vállalat                   Transformation 

CrefoNr.: 931 0604112                                          

RegNr.: 20 01 010069                                           

8800 Nagykanizsa, Szabadság tér 22.                            

Nagyalföldi Kőolaj- és Földgáztermelő Vállalat      Transformation 

CrefoNr.: 931 0594514                                          

RegNr.: 16 01 000402                                           

5001 Szolnok, Ady Endre út 26.                                 

Országos Kőolaj- és Gázipari Tröszt                    Transformation 

CrefoNr.: 931 0500066                                          

RegNr.: 01 01 002064                                           

1111 Budapest, Schönherz Zoltán u. 18.                         

Tiszai Kőolajipari Vállalat                                    Transformation 

CrefoNr.: 931 0552264                                          

RegNr.: 05 01 000109                                           

3581 Leninváros, Mezőcsáti út                                  

 

 

Registered on 

 

06/10/1992 Cj. Budapest, 01 10 041683                          

Tax number: 10625790-2-44                                      

EU Community VAT identification number: HU10625790             

 

 

Registered capital                                                                        

  

HUF     109 675 502 578    

 

 

Shareholder  

 

Shareholder                                                    %                  49,1    

Foreign institutional investor                                 

OMV Hungária Ásványolaj Korlátolt                     %                    10    

Felelősségű Társaság                                           

1134 Budapest, Róbert Károly krt.                              

64-66.                                                         

Shareholder                                                     

OMV Hungária Ásványolaj Korlátolt                     %                    10    

Felelősségű Társaság                                           

1134 Budapest, Róbert Károly krt.                              

64-66.                                                          

Shareholder                                                    

Országos Takarékpénztár és                              %                   8,5    

Kereskedelmi Bank Nyilvánosan                                  

Működő Részvénytársaság                                         

1051 Budapest, Nádor u.  16.                                   

Shareholder                                                    

BNP PARIBAS HUNGÁRIA BANK ZRT                %                   8,3    

1055 Budapest, Honvéd u. 20. sz.                                

Shareholder                                                    

Magyar Olaj- és Gázipari Bányász                      %                   7,6    

Szakszervezet                                                  

1117 Budapest, Október                                          

huszonharmadika u. 18.                                         

own property                                                   

Magnolia Finance Ltd.                                        %                  5,5    

Shareholder                                                     

Bank Austria AG.                                               %                   5,4    

Shareholder                                                       %                     4    

Domestic institutional investor                                         %                   1,6    

Domestic private investor                                      

 

 

Board of directors

 

Akar László                                                    

1025 Budapest, Zöldkő utca 18/d.                               

Office-bearer                                                  

authorized to collective sign                                  

Alács Lajos                                                    

2051 Biatorbágy, Patak u. 4.                                   

Employee                                                       

authorized to collective sign                                  

Áldott Zoltán                                                  

1143 Budapest, Utász u. 9.                                      

Employee                                                       

authorized to collective sign                                  

Árr Richárd                                                    

8900 Zalaegerszeg, Berzsenyi D. u. 9.                           

Person authorized to sign                                      

authorized to collective sign                                  

Barczikai József                                               

1037 Budapest, Perényi út 14/ A .                               

Employee                                                       

authorized to collective sign                                  

Barts Jenő Balázs                                              

1026 Budapest, Tüske u. 5.                                      

Office-bearer                                                  

authorized to collective sign                                  

Bécsi Andrea                                                   

1155 Budapest, Őrszem u. 4.                                     

Employee authorized to company registration                    

authorized to collective sign                                  

Bérczes László                                                 

8000 Székesfehérvár, Szilva u. 24.                              

Person authorized to sign                                      

authorized to collective sign                                  

Berzéki Péter Ferenc                                           

1119 Budapest, Rátz László u. 18.                               

Employee                                                       

authorized to collective sign                                  

Birinyiné Landesz Bernadett                                    

2011 Budakalász, Ökörszem u. 13.                               

Employee                                                       

authorized to collective sign                                  

Cseh Béla Csaba                                                

1113 Budapest, Bartók Béla út 92-94.                           

Employee                                                       

authorized to collective sign                                  

Cserhalmi Miklós                                               

1024 Budapest, Keleti Károly u. 43.                            

Employee                                                       

authorized to collective sign                                  

Csorba Béla                                                    

1034 Budapest, Kecske u. 18.                                   

Employee                                                       

Delcommune Michel-Marc                                         

1025 Budapest, Alsó Zöldmáli út. 11.                           

Office-bearer                                                   

authorized to collective sign                                  

Dolhai András                                                  

2119 Pécel, Bocskai u. 1/A.                                    

Person authorized to sign                                      

authorized to collective sign                                  

Dorogházi Krisztina                                            

2096 Üröm, Kárókatona u. 8.                                    

Employee                                                       

authorized to collective sign                                  

Dr. Aradszki András                                            

2030 Érd, Diósdi út 92.                                        

Office-bearer                                                  

authorized to collective sign                                  

Dr. Csányi Sándor                                              

1025 Budapest, Csatárka u. 31/B.                               

Office-bearer                                                  

authorized to collective sign                                  

Dr. Dielacher Maximilian                                       

1121 Budapest, Melinda út 22.                                   

Person authorized to sign                                      

authorized to collective sign                                  

Dr. Dobák Miklós                                               

2040 Budaörs, Akácfa köz 10.                                    

Office-bearer                                                  

authorized to collective sign                                  

Dr. Farkas Ferenc                                              

2040 Budaörs, Domb u. 1. B/2.                                   

Employee                                                       

authorized to collective sign                                  

Dr. Gáti Julianna                                              

1115 Budapest, Etele u. 66/a. III/11.                           

Employee authorized to company registration                    

authorized to collective sign                                  

Dr. Gégény Andrea                                              

2083 Solymár, Magas u. 1.                                       

Employee                                                       

authorized to collective sign                                  

Dr. Horváth Gábor                                              

1039 Budapest, Deák u. 8.                                       

Office-bearer                                                  

authorized to collective sign                                  

Dr. Kara Pál Zoltán                                            

1031 Budapest, Lőpormalom u. 7.                                 

Employee                                                       

authorized to collective sign                                  

Dr. Kemenes Ernő                                               

1122 Budapest, Abos utca 3/B.                                   

Office-bearer                                                  

authorized to collective sign                                  

Dr. Kenessey Gábor István                                      

1014 Budapest, Tóth Árpád sétány 4.                            

Employee                                                       

authorized to collective sign                                  

Dr. Molnár Edit sz : Molnár Edit                               

1222 Budapest, Dankasirály u. 15.                              

Employee                                                       

authorized to collective sign                                  

dr. Simóka Kálmánné sz. dr. Pfeffer Edit                       

1162 Budapest, Pejkó utca 32.                                  

Office-bearer                                                  

authorized to collective sign                                  

dr. Szalmásné Pécsvári Gabriella                               

2440 Százhalombatta, Ponty u. 6.                               

Employee                                                       

authorized to collective sign                                  

Dr. Széki Zsuzsanna                                            

1113 Budapest, Bartók B. út 92-94.                             

Employee                                                       

authorized to collective sign                                  

Fasimon Sándor                                                 

1163 Budapest, Szérű u. 41.                                    

Employee                                                       

authorized to collective sign                                  

Fekete László                                                  

2141 Csömör, Vízműsor u. 50.                                   

Employee                                                       

authorized to collective sign                                  

Ferencz István Szabolcs                                        

1038 Budapest, Csermák Antal u. 25/H.                          

Employee                                                       

authorized to collective sign                                  

Gadóné Sárkány Zsuzsanna                                        

1025 Budapest, Szemlőhegy u. 18.                               

Employee                                                       

authorized to collective sign                                  

Galambos László                                                 

2440 Százhalombatta, Harangvirág u. 7.                         

Employee                                                       

authorized to collective sign                                  

Garamszegi Gábor                                                

2023 Dunabogdány, Erzsébet királyné u. 19.                     

Employee authorized to company registration                    

authorized to collective sign                                  

Gazdag István                                                   

5700 Gyula, Törökzugi sor 21.                                  

Employee                                                       

authorized to collective sign                                  

Gerecs László                                                   

2040 Budaörs, Domb u. 1/B.                                     

Office-bearer                                                  

authorized to collective sign                                  

Geszti László                                                   

1033 Budapest, Kazal u. 46.                                    

Person authorized to sign                                      

authorized to collective sign                                  

Geszti László                                                   

1133 Budapest, Hegedűs Gyula u. 93.                            

Employee                                                       

Gróf László                                                    

8900 Zalaegerszeg, Göcseji u. 61/B.                            

Employee                                                       

authorized to collective sign                                  

Hegedüs Dezső Lászlóné                                         

Person authorized to sign                                       

authorized to collective sign                                  

Hernádi Zsolt                                                  

1025 Budapest, Zöldkő u. 14/ A .                               

Office-bearer                                                   

authorized to collective sign                                  

Holoda Attila István                                           

4200 Hajdúszoboszló, Attila u. 33/ A .                         

Employee                                                        

authorized to collective sign                                  

Horváth Ferenc Zoltán                                          

2000 Szentendre, Nagybányai u. 7.                              

Employee                                                        

authorized to collective sign                                  

Huszár András                                                  

1022 Budapest, Bimbó út 78.                                    

Employee                                                        

authorized to collective sign                                  

Iain Paterson                                                  

Court Farm House Overt, Nr Baringstoke, Haupshire RG 2         

Office-bearer                                                  

authorized to collective sign                                  

Person in charge for delivery:                                 

Dóczi András                                                   

1117 Budapest, Október huszonharmadika u. 18.                  

Kamarás Miklós                                                 

2014 Csobánka, Damjanich utca 2.                               

Office-bearer                                                  

authorized to collective sign                                  

Kanizsayné Hidvéghy Judit Márta                                

8000 Székesfehérvár, Tóvárosi lakónegyed 53.                   

Employee                                                        

Kerekes Péter                                                  

1221 Budapest, Szent Gellért u. 16.                            

Employee                                                       

authorized to collective sign                                   

Király András                                                  

1029 Budapest, Szegedi Róza u. 2.                              

Employee                                                       

authorized to collective sign                                   

Kiss Csaba Tibor                                               

2131 Göd, Rozmaring u. 1.                                      

Employee                                                       

authorized to collective sign                                   

Kiss László                                                    

2051 Biatorbágy, Kinizsi u. 19.                                

Office-bearer                                                  

authorized to collective sign                                   

Kovács Ferencné sz.: Varga Borbála Zsuzsanna                   

1111 Budapest, Budafoki út 10/B.                               

Employee                                                       

authorized to collective sign                                   

Kovács György                                                  

4200 Hajdúszoboszló, Egressy u. 13.                            

Employee authorized to company registration                    

authorized to collective sign                                   

Kovács László                                                  

5000 Szolnok, Gerle u. 2/10.                                   

Employee authorized to company registration                    

authorized to collective sign                                   

Lakatos Benjamin                                               

1117 Budapest, Fehérvári út 24.                                

Employee                                                       

authorized to collective sign                                   

Lázár László                                                   

1222 Budapest, Dankasirály u. 9.                               

Employee                                                       

authorized to collective sign                                  

Lendvay Józsefné  sz.: Kertész Zsuzsanna                       

8000 Székesfehérvár, Mandula u. 27.                            

Office-bearer                                                  

authorized to collective sign                                  

Lipcsei Csaba                                                  

1103 Budapest, Gergely u. 52.                                  

Person authorized to sign                                      

authorized to collective sign                                  

Mátyás János                                                   

1144 Budapest, Zalán u. 37.                                    

Office-bearer                                                  

authorized to collective sign                                  

Mesterházy Barbara sz : Mesterházy Barbara                     

8600 Siófok, Küszhegyi út 5/ A .                               

Employee                                                       

authorized to collective sign                                  

Molnár Gábor                                                   

1111 Budapest, Budafoki út 37-39.                              

Person authorized to sign                                      

authorized to collective sign                                  

Molnár József                                                  

3700 Kazincbarcika, Akácfa u. 39.                              

Employee                                                       

authorized to collective sign                                  

Monfilsné Kőhalmi Csilla                                       

1063 Budapest, Munkácsy M. u. 21.                              

Office-bearer                                                  

authorized to collective sign                                  

Móri Zoltán                                                    

1211 Budapest, Pecz Ferenc u. 2/C.                             

Office-bearer                                                   

authorized to collective sign                                  

Mosonyi György                                                 

1029 Budapest, Hársalja utca 26.                               

Office-bearer                                                   

authorized to collective sign                                  

Papp Tibor                                                     

1013 Budapest, Pauler u. 20.                                   

Employee                                                        

authorized to collective sign                                  

Pásztor Tamás                                                  

2051 Biatorbágy, Geréby Imre u. 3.                             

Employee                                                        

authorized to collective sign                                  

Patkó György                                                   

2089 Telki, Nefelejcs u. 513 hrsz.                             

Employee                                                        

Paulik Zsolt Norbert                                           

2100 Gödöllő, Akácfa u. 20.                                    

Employee                                                       

authorized to collective sign                                   

Péter István                                                   

2475 Kápolnásnyék, Bartók u. 40.                               

Employee                                                       

authorized to collective sign                                   

Pethő Zsolt                                                    

2081 Piliscsaba, Ráczvölgy u. 2817. hrsz.                      

Employee                                                       

authorized to collective sign                                   

Petrik Béla Péter                                              

3757 Teresztenye, Kossuth Lajos út 27.                         

Employee                                                       

Pongrácz Zoltánné                                               

1212 Budapest, Duna-dülő 1.                                    

Person authorized to sign                                      

authorized to collective sign                                  

Rácz Gábor                                                      

8000 Székesfehérvár, Nyitrai u. 98.                            

Employee                                                       

authorized to collective sign                                  

Rák Magdolna                                                    

1148 Budapest, Lengyel u. 34-36.                               

Office-bearer                                                  

authorized to collective sign                                  

Richolm Tibor                                                   

1035 Budapest, Búvár u. 1.                                     

Employee                                                       

authorized to collective sign                                  

Robák Károly Mihály                                            

1095 Budapest, Mester u. 77.                                   

Office-bearer                                                  

Simola József Farkas                                           

1112 Budapest, Oltvány u. 17/E.                                

Employee                                                       

authorized to collective sign                                  

Simonné Czenki Éva Erzsébet                                    

1028 Budapest, Mikes Kelemen u. 22.                            

Employee                                                       

authorized to collective sign                                  

Sivó Imre                                                      

1025 Budapest, Vérhalom tér 7/ A . 2/1.                        

Person authorized to sign                                      

authorized to collective sign                                  

Somfai Attila                                                   

1055 Budapest, Falk Miksa u. 17.                               

Employee                                                       

authorized to collective sign                                  

Soós Judit Réka                                                 

2030 Érd, Béke tér 5/C.                                        

Person authorized to sign                                      

authorized to collective sign                                  

Stewart-Roberts Daniel                                          

2092 Budakeszi, Jókai u. 12.                                   

Employee authorized to company registration                    

authorized to collective sign                                  

Szabó László                                                    

1221 Budapest, Ringló u. 43/B.                                 

Employee                                                       

authorized to collective sign                                  

Szládovics Dezső                                                

2040 Budaörs, Ibolya u. 122.                                   

Person authorized to sign                                      

authorized to collective sign                                  

Szládovics Dezső József                                         

2040 Budaörs, Avar u. 17.                                      

Employee                                                       

authorized to collective sign                                  

Szőcs László                                                    

1181 Budapest, Havanna u. 53.                                  

Employee                                                       

authorized to collective sign                                  

Szöllősy Klára                                                  

1194 Budapest, Kelet u. 4-6.                                   

Person authorized to sign                                      

authorized to collective sign                                  

Szujó Vince                                                     

5900 Orosháza, Fürdő u. 20.                                    

department manager                                             

authorized to collective sign                                  

Tapasztó György                                                 

5000 Szolnok, Nagy I. krt. 7.                                  

Employee                                                       

authorized to collective sign                                  

Tari Loránt                                                     

3060 Pásztó, Kishegy u. 11.                                    

Employee                                                       

authorized to collective sign                                  

Thernesz Artur Lajos                                           

2000 Szentendre, Egres u. 27.                                  

Office-bearer                                                  

authorized to collective sign                                  

Török Gábor Géza                                               

1162 Budapest, Bekecs u. 65.                                   

Employee                                                       

authorized to collective sign                                  

Tóth Attila Sándor                                             

1173 Budapest, Hóbagoly u. 21.                                 

Employee                                                       

authorized to collective sign                                  

Tóth Norbert                                                   

1097 Budapest, Gyáli út 15/B.                                  

Person authorized to sign                                      

authorized to collective sign                                  

Tóth-Zsiga Tünde sz. Tóth-Zsiga Tünde                          

1172 Budapest, Jásztelek u. 31.                                

Office-bearer                                                  

authorized to collective sign                                   

Valkusz Pál György                                             

2440 Százhalombatta, Duna u. 13.                               

Employee                                                       

authorized to collective sign                                   

Váradi Béla                                                    

1121 Budapest, Lidérc u. 27.                                   

Person authorized to sign                                      

authorized to collective sign                                   

Zólyomi Zsolt                                                  

2642 Nógrád, Árpád u. 27.                                      

Employee                                                       

Bognár Piroska                                                  

2440 Százhalombatta, Erkel krt. 39.                            

member of the supervisory board                                

Chikán Attila                                                  

1053 Budapest, Veres Pálné u. 36.                               

member of the supervisory board                                

Dr. Kupa Mihály                                                

1025 Budapest, Cimbalom utca 17.                               

member of the supervisory board                                 

Dr. Lámfalussy Sándor                                          

BE-1380 Ohain (Belgium), Place Communale 17.                   

member of the supervisory board                                

John I. Charody                                                 

AU-2068 Castlecrag NSW (Ausztr, 41 The Tor walk.               

member of the supervisory board                                

Person in charge for delivery:                                 

Dóczi András                                                    

2051 Biatorbágy, Diófa utca 49/ A .                            

Kudela József                                                  

2151 Fót, Sarló u. 5.                                          

member of the supervisory board                                

Major János                                                    

2440 Százhalombatta, Bláthy Ottó u. 18.                        

member of the supervisory board                                

Slavomir Hatina                                                 

SK-84106 Bratislava ( Slovak Re, Strmy Vrsok 141.              

member of the supervisory board                                

Person in charge for delivery:                                 

Dóczi András                                                    

2051 Biatorbágy, Diófa utca 49/ A .                            

Vásárhelyi István                                              

1028 Budapest, Gerecse u. 35.                                  

member of the supervisory board                                

 

 

Auditor

 

Ernst & Young Könyvvizsgáló                                    

Korlátolt Felelősségű Társaság                                 

1132 Budapest, Váci út 20.                                     

Szilágyi Judit                                                 

1121 Budapest, Tállya u. 28/ A /4.                             

 

 

General data

 

Main activity:                                                                                                     (23.20)

Manufacture of refined petroleum products                       

Other activities:                                                                                                  (11.10)

Extraction of crude petroleum and natural gas                  

Service activities incidental to oil and gas                                                 (11.20)

extraction, excluding sur                                       

Printing nec                                                                                                       (22.22)

Reproduction of computer media                                                             (22.33)

Manufacture of industrial gases                                                               (24.11)

Manufacture of other organic basic chemicals                                           (24.14)

Manufacture of fertilizers and nitrogen                                                      (24.15)

compounds                                                      

Manufacture of steel drums and similar                                                    (28.71)

containers                                                     

Manufacture of machinery for mining, quarrying                                         (29.52)

and construction                                               

Manufacture of television and radio                                                         (32.20)

transmitters and apparatus for lin                             

Manufacture of instruments and appliances for                                          (33.20)

measuring, checking, tes                                       

Production of electricity                                                                          (40.11)

Distribution and trade of electricity                                                           (40.13)

Manufacture of gas                                                                                 (40.21)

Distribution and trade of gaseous fuels                                                     (40.22)

through mains                                                   

Steam and hot water supply                                                                    (40.30)

Collection, purification and distribution of                                                  (41.00)

water                                                          

Demolition and wrecking of buildings; earth                                              (45.11)

moving                                                         

Construction of highways, roads, airfields and                                           (45.23)

sport facilities                                               

Construction of water projects                                                                 (45.24)

Sale of motor vehicles                                                                            (50.10)

Maintenance and repair of motor vehicles                                                 (50.20)

Sale of motor vehicle parts and accessories                                             (50.30)

Sale, maintenance and repair of motorcycles                                            (50.40)

Retail sale of automotive fuel                                                                   (50.50)

Wholesale trade of solid, liquid and gaseous                                            (51.51)

fuels and related products                                      

Wholesale trade of chemical products                                                      (51.55)

Wholesale trade of other electronic parts and                                           (51.86)

equipment                                                      

Wholesale of other machinery for use in                                                   (51.87)

industry, trade and navigation                                 

Retail sale in non-specialized stores with                                                 (52.11)

food, beverages or tobacco                                     

Other retail sale in non-specialized stores                                                (52.12)

Retail sale of fruit and vegetables                                                             (52.21)

Retail sale of meat and meat products                                                     (52.22)

Retail sale of fish                                                                                               (52.23)

Retail sale of bread, cakes, flour                                                              (52.24)

confectionery and sugar confectione                            

Retail sale of alcoholic and other beverages                                              (52.25)

Retail sale of tobacco products                                                               (52.26)

Other retail sale of food, beverages and                                                    (52.27)

tobacco in specialized stores                                  

Dispensing chemists                                                                              (52.31)

Retail sale of medical and orthopaedic goods                                           (52.32)

Retail sale of cosmetic and toilet articles                                                             (52.33)

Retail sale of clothing                                                                             (52.42)

Retail sale of footwear and leather goods                                                  (52.43)

Retail sale of furniture, lighting equipment                                     (52.44)

and household articles n                                       

Retail sale of electrical household appliances                                           (52.45)

and radio and televisio                                        

Retail sale of hardware, paints and glass                                                  (52.46)

Retail sale of books, newspapers and stationery                                       (52.47)

Other retail sale in specialized stores                                                      (52.48)

Other non-store retail sale                                                                       (52.63)

Restaurants                                                                                                       (55.30)

Bars                                                                                                     (55.40)

Other scheduled passenger land transport                                                (60.21)

Freight transport by road                                                                         (60.24)

Transport via pipelines                                                                            (60.30)

Inland water transport                                                                             (61.20)

Storage and warehousing                                                                          (63.12)

Other supporting land transport activities                                                  (63.21)

Other supporting water transport activities                                                (63.22)

Other supporting air transport activities                                                    (63.23)

Activities of travel agencies                                                                     (63.30)

Activities of other transport agencies                                                        (63.40)

National post activities                                                                            (64.11)

Courier activities other than national post                                                 (64.12)

activities                                                      

Telecommunications                                                                              (64.20)

Other credit granting                                                                               (65.22)

Other financial intermediation nec                                                            (65.23)

Activities auxiliary to insurance and pension                                             (67.20)

funding                                                        

Development and selling of real estate                                                     (70.11)

Buying and selling of own real estate                                                                   (70.12)

Letting of own property                                                                           (70.20)

Management of real estate on a fee or contract                                         (70.32)

basis                                                          

Renting of office machinery and equipment,                                              (71.33)

including computers                                            

Hardware consultancy                                                                            (72.10)

Publishing of software                                                                             (72.21)

Other software consultancy and supply                                                    (72.22)

Data processing                                                                                     (72.30)

Database activities, online publishing                                                       (72.40)

Maintenance and repair of office, accounting                                             (72.50)

and computing machinery                                         

Other computer related activities                                                             (72.60)

Research and experimental development on                                             (73.10)

natural sciences and engineer                                  

Business and management consultancy activities                                     (74.14)

Management activities of holding companies                                            (74.15)

Architectural and engineering activities and                                              (74.20)

related technical consult                                      

Technical testing and analysis                                                                (74.30)

Advertising                                                                                                        (74.40)

Industrial cleaning                                                                                  (74.70)

Packaging activities                                                                               (74.82)

Other business activities nec                                                                  (74.87)

Adult and other education nec                                                                 (80.42)

Other human health activities                                                                  (85.14)

Collection and treatment of sewage                                                         (90.01)

Collection and treatment of other waste                                                    (90.02)

Sanitation, remediation and similar activities                                             (90.03)

Fair and amusement park activities                                                          (92.32)

Museums activities and preservation of                                                    (92.52)

historical sites and buildings                                 

Operation of sports arenas and stadiums                                                 (92.61)

Other sporting activities                                                                          (92.62)

Gambling and betting activities                                                                (92.71)

Other recreational activities nec                                                               (92.72)

Other service activities nec                                                                     (93.05)

 

Former name                                                    

 

MOL Magyar Olaj- és Gázipari Részvénytársaság                  

 

Full name                                                      

MOL Magyar Olaj- és Gázipari Nyilvánosan Működő Részvénytársaság

 

Name in foreign language                                        

MOL Hungarian Oil and Gas Public Limited Company MOL Plc.      

 

Short name                                                     

MOL Nyrt.                                                      

MOL Nyrt .                                                      

 

General contacts:                                              

Phone:                                                          

+36-1-2090000                                                  

+36-1-2090000                                                   

+36-1-2091010                                                  

+36-1-2155555                                                  

+36-23-354322                                                  

+36-34-342112                                                   

+36-36-312557                                                  

+36-42-313622                                                  

+36-52-361425                                                  

+36-56-411611                                                   

+36-62-314702                                                  

+36-66-371183                                                  

+36-68-312633                                                  

+36-77-322811                                                   

+36-84-310262                                                  

+36-92-311320                                                  

+36-93-373397                                                  

 

Telefax:                                                        

+36-1-2090095                                                  

+36-1-2090095                                                  

+36-1-4640796                                                  

 

Web:                                                            

www.mol.hu                                                     

 

Residence address:                                             

1117 Budapest, Október huszonharmadika u. 18.                  

 

Address of the company premises:                               

1039 Budapest, Batthyány út 45.                                

1063 Budapest, Benczúr u. 13.                                  

1221 Budapest, Petróleum u. 5-7.                               

1016 Budapest, Mészáros u. 19.                                 

1021 Budapest, Hűvösvölgyi út 136.                             

1033 Budapest, Mozaik u. 3.                                    

1036 Budapest, Árpád fejedelem útja 103.                       

1046 Budapest, Fóti út 130.                                    

1055 Budapest, Markó u. 2.                                     

1082 Budapest, Futó u. 52.                                     

1087 Budapest, Hős u. 9.                                       

1089 Budapest, Golgotta tér 38812.                             

1097 Budapest, Gubacsi u. 27.                                  

1098 Budapest, Napfény u. 26.                                  

1101 Budapest, Albertirsai köz 39210/156.                      

1106 Budapest, Fehér u. 3.                                     

1107 Budapest, Kőbányai út 55.                                 

1116 Budapest, Hunyadi János út 2.                             

1117 Budapest, Irinyi u. 45.                                   

1117 Budapest, Prielle Kornélia u. 20.                         

1118 Budapest, Rétköz u. 1969/6.                               

1125 Budapest, Istenhegyi u. 55.                               

1131 Budapest, Kámfor u. 26788.                                

1133 Budapest, Garam u. 2.                                     

1134 Budapest, Dózsa György út 144.                            

1138 Budapest, Pap Károly u. 27648/2.                          

1138 Budapest, Váci út 178.                                     

1143 Budapest, Hungária krt. 83-85.                            

1145 Budapest, Róna u. 170.                                    

1146 Budapest, Vágány u. 21.                                   

1151 Budapest, Bogáncs u. 1-3.                                  

1155 Budapest, Karatna tér 81619.                              

1163 Budapest, Veres Péter út 105-107.                         

1165 Budapest, Arany János u. 106.                             

1173 Budapest, Pesti út 5.                                      

1182 Budapest, Üllői út 661.                                   

1185 Budapest, Üllői út 738.                                   

1192 Budapest, Nagykőrösi út 166211.                           

1194 Budapest, Új temető u. 9.                                  

1211 Budapest, Kossuth Lajos u. 76.                            

1213 Budapest, Szent István út 201861/1.                       

1239 Budapest, Ócsai út 187969/2.                              

 

Branch establishment:                                           

5000 Szolnok, Ady E. u. 26.                                    

5525 Füzesgyarmat, Ipartelep 0418/8. hrsz.                     

6400 Kiskunhalas, Olajbányász u. 7.                            

8600 Siófok, Sió u. 74.                                         

2931 Almásfüzitő, 4. tul. lap 207. hrsz.                       

2364 Ócsa, 4. tul. lap 0278. hrsz.                             

3100 Salgótarján, Nagy S. út 6.                                

3170 Szécsény, 1711. tul. lap 1687. hrsz.                      

8000 Székesfehérvár, Farkasvermi u. 1.                         

8330 Sümeg, 154.tul. lap 152/1. hrsz.                          

9028 Kismegyer, 10212. tul. lap 2390. hrsz.                    

9200 Mosonmagyaróvár, MÁV állomás                              

7600 Pécs, Mecsekalja-Cserkút Pelledi u.5                      

7200 Dombóvár, Gunarasi u. 16.                                 

7130 Mőzs, 916. tul. 857. hrsz.                                

5081 Szajol, 6. tul. lap 096/4.                                

5000 Szolnok, Ságvári E. krt. 4.                               

6750 Algyő-Szeged, 2212. tul. lap 01749. hrsz.                 

6001 Kecskemét, Mészöly u. 21.                                 

6500 Baja, 6306. tul. lap 5661. hrsz.                          

2703 Cegléd, 15376. tul. lap 5732. hrsz.                       

5900 Orosháza, Csizmadia u. 1.                                 

2440 Százhalombatta, Olajmunkás u. 2.                          

3580 Tiszaújváros, Mezőcsáti u. 1.                             

8900 Zalaegerszeg, Zrínyi út 6.                                

2600 Vác, Mária udvar, Gödöllői út 0372/1-3.                   

5081 Szajol, Belterület 2401/1.                                

6000 Kecskemét, Klebelsberg Kunó u. 46.                        

7635 Pécs, Állomás u. 21.                                      

7570 Barcs, Nyugati Gázelőkészítő 0594/1.                      

9751 Vép, Kassai út 54.                                        

9023 Győr, Serfőződombi dűlő 2390.                             

4211 Ebes, Debreceni útfél 065.                                

5525 Füzesgyarmat, Ipartelep 0416/35.                          

3390 Füzesabony, Szihalmi u. 973/1.                            

3300 Eger, Kistállyai út 9840.                                 

2921 Komárom, Kőolaj u. 2.                                     

6750 Algyő, 01748/23.                                          

6750 Algyő, 01780.                                             

6750 Algyő, 01884/10.                                          

6750 Algyő, 01884/11.                                          

6750 Algyő, 01884/4.                                           

8753 Balatonmagyaród, 054.                                     

8753 Balatonmagyaród, 065.                                     

6412 Balotaszállás, 039/50.                                    

5830 Battonya, 0768/22.                                        

8887 Bázakerettye, 0182/7.                                      

8887 Bázakerettye, 057/1.                                      

8887 Bázakerettye, 130.                                        

8985 Becsvölgye, 0613.                                         

5527 Bucsa, 022/5.                                              

3395 Demjén, 077/5.                                            

6781 Domaszék, 062/1.                                          

3300 Eger, Vasút út 10.                                        

5525 Füzesgyarmat, 0416/35.                                     

8981 Gellénháza, 083/2.                                        

8981 Gellénháza, 085/2.                                        

8981 Gellénháza, 076/2.                                        

8981 Gellénháza, 418/1.                                         

2217 Gomba, 0396/1.                                            

4200 Hajdúszoboszló, 027.                                      

4200 Hajdúszoboszló, 7628.                                     

5945 Kardoskút, Olajbányász út 1.                               

5331 Kenderes, 0215/2.                                         

6400 Kiskunhalas, 0782/10.                                     

5321 Kunmadaras, 0468/5.                                       

8888 Lispeszentadorján, 021.                                    

8878 Lovászi, 0110.                                            

5400 Mezőtúr, 0696.                                            

8800 Nagykanizsa, Vár út 8.                                    

8983 Nagylengyel, Ormándlak 071/21.                             

8983 Ormándlak, 030/8.                                         

8983 Ormándlak, 060.                                           

6784 Öttömös, 016/22.                                          

6131 Szank, 1161/2.                                             

6131 Szank, 1162.                                              

6131 Szank, 1163/1-4.                                          

6131 Szank, 1164.                                              

6131 Szank, 1166.                                               

6131 Szank, 1168.                                              

6753 Szeged-Tápé, 02173/2.                                     

2254 Szentmártonkáta, 0168/21.                                 

2254 Szentmártonkáta, 0454/30.                                 

5000 Szolnok, Kőrösi út 45.                                    

5000 Szolnok, Templom út 13.                                   

8736 Szőkedencs, 010/7.                                        

6236 Tázlár, 0116/51.                                          

5940 Tótkomlós, 0400/8.                                        

6794 Üllés, 019/65.                                            

2115 Vácszentlászló, 060/2.                                    

2114 Valkó, 079/7.                                             

2740 Abony, Radák u. 1028.                                     

2457 Adony, 6. sz. fkl. út 1255/2.                             

8400 Ajka, Fő út 1317.                                         

2170 Aszód, Pesti út 3.                                        

6430 Bácsalmás, Backnang út 7.                                 

8258 Badacsonytomaj, 71. sz. fkl út 2561/11.                   

6500 Baja, Szegedi út 2812/9.                                  

6500 Baja, Dunahíd 1862/11.                                    

4561 Baktalórántháza, 41. sz. fkl. út 701.                     

2660 Balassagyarmat, Kővári út 351/11.                         

8243 Balatonakali, Levendula sétány 504.                       

8172 Balatonakarattya, 71. sz. fkl. út 0205/4.                 

8220 Balatonalmádi, Fűzfői út 5.                               

8623 Balatonföldvár, Szentgyörgyi út 1550/1.                   

8230 Balatonfüred, Széchenyi István út 011/2.                  

8648 Balatonkeresztúr, 7. sz. fkl. út 270/3.                   

8638 Balatonlelle, Rákóczi Ferenc u. 1.                        

8636 Balatonszemes, 7. sz. fkl. út 2139.                       

7570 Barcs, Erkel Ferenc u. 3.                                  

7140 Bátaszék, Budai út 114-116.                               

3078 Kisterenye, 21. sz. fkl. út 1016/2.                       

5600 Békéscsaba, Bartók Béla út 71-89.                         

5600 Békéscsaba, Szegedi út 6263/3.                             

9343 Beled, Vásárosfalu, 86. sz. fkl. út 057/10.               

4100 Berettyóújfalu, 42. sz. fkl. út 4489/2.                   

4100 Berettyóújfalu, 47. sz. fkl. út 0764/7.                   

2060 Bicske, Botond tér 1576/7.                                 

4110 Biharkeresztes, 42. sz. fkl út 0166/18.                   

7150 Bonyhád, Zrínyi Miklós u. 25.                             

8719 Böhönye, Szabadság u. 571/4.                              

2092 Budakeszi, Perbáli u. 2405.                                

2040 Budaörs, 100. sz. fkl. út 10300/4.                        

2040 Budaörs, Repülőtéri út 4047/2.                            

6114 Bugac, Felsőmonostori út 0280/5.                          

2700 Cegléd, Külsőpesti u. 8269.                                

2700 Cegléd, Nagykőrösi út 1096/36.                            

9500 Celldömölk, Ostffy tér 234/2.                             

4765 Csenger, Ady Endre u. 351.                                

5465 Cserkeszőlő, Kecskeméti út 607.                            

6640 Csongrád, Szentesi út 4422/1.                             

9300 Csorna, Soproni út 3811.                                  

8840 Csurgó, Iharos út 25.                                     

2370 Dabas, 50. sz. fkl út 0138/1.                              

4029 Debrecen, Benedek tér 6444/3.                             

4027 Debrecen, Böszörményi út 058/33.                          

4030 Debrecen, Mikepércsi út 5.                                

4030 Debrecen, Mikepércsi út 36.                                

4033 Debrecen, Sámsoni út 109.                                 

4025 Debrecen, Senger tér 8634.                                

8135 Dég, 64. sz. fkl. út 0122/19.                             

5510 Dévaványa, Sport u. 7.                                     

8460 Devecser, Pápai út 614.                                   

2049 Diósd, 70. sz. fkl. út 366/1.                             

7200 Dombóvár, Köztársaság u. 27.                              

2510 Dorog, Bécsi út 1722/2.                                   

2545 Dunaalmás, Almási u. 4445/2.                              

7020 Dunaföldvár, 6. sz. fkl. út 1472/3.                       

2400 Dunaújváros, 6. sz. fkl. út 3681.                         

3780 Ládbesenyő, 27. sz. fkl. út 624/1.                        

3300 Eger, Kistályai út 10543/2.                               

3300 Eger, Kővágó tér 2086/2.                                  

3300 Eger, Mátyás király út 9492.                              

3300 Eger, Rákóczi út 98.                                      

3860 Encs, 3. sz. fkl. út 0102/1.                              

2451 Ercsi, Dózsa György tér 3.                                

2030 Érd, Budai út 22261/1.                                    

2030 Érd, Budai út 22264.                                      

2500 Esztergom, Dorogi út 0361/11.                             

2500 Esztergom, Visegrádi út 7054/1.                           

5231 Fegyvernek, 4. sz. fkl. út 1539/14.                       

4900 Fehérgyarmat, Alkotmány út 31.                            

8640 Fonyód, József Attila u. 5960.                            

2686 Galgaguta, Kossuth u. 27.                                 

2483 Gárdony, Szabadság u. 2444/42.                            

2100 Gödöllő, Szabadság u. 12.                                 

2360 Gyál, Kőrösi út 19.                                       

5500 Gyomaendrőd, Pásztor János u. 2178/2.                     

2230 Gyömrő, Mendei út 4821.                                   

3200 Gyöngyös, Alkotmány út 17.                                

3200 Gyöngyös, Pesti út 4267/13.                               

3200 Gyöngyös, 24. sz. fkl. út 1630/35.                        

9024 Győr, Nagy Imre u. 2827/2.                                 

9026 Győr, Galántai út 11674/2.                                

9027 Győr, Budai u. 6323.                                      

9028 Győr, Tati út 46/3.                                       

5700 Gyula, Csabai út 6651.                                     

4220 Hajdúböszörmény, Debreceni út 5581.                       

4087 Hajdúdorog, Böszörményi út 85.                            

4080 Hajdúnánás, Tiszavasvári út 1636/5.                       

4200 Hajdúszoboszló, Debreceni út 3530.                         

7815 Harkány, Terehegy, Pécsi út 04.                           

3000 Hatvan, Jászberényi út 0232/1.                            

3000 Hatvan, M. 3 autópálya 1 0335.                            

3000 Hatvan, M. 3 autópálya 2 0335/3.                           

3000 Hatvan, Rákóczi Ferenc út 894.                            

9178 Hédervár, Szigetközi út 0109.                             

8372 Cserszegtomaj, Hévízi út 0101.                            

3876 Hidasnémeti, 3. sz. fkl. út 394.                           

6800 Hódmezővásárhely, Szántó Kovács János út 170.             

6800 Hódmezővásárhely, Tóalj út 5242.                          

4071 Hortobágy, 33. szfkl. út 01468/2.                         

4274 Hosszúpályi, Földvár u. 1/a.                               

7275 Igal, Rákóczi tér 1136/4.                                 

5100 Jászberény, Nagykátai út 15406/2.                         

5100 Jászberény, Szolnoki út 2364.                             

7530 Kadarkút, Kaposvári u. 0139/1.                             

6300 Kalocsa, Negyvennyolcas út 1078.                          

9841 Kám, Jókai Mór út 2.                                      

3355 Kápolna, 3. sz. fkl. út 715/11.                           

7400 Kaposvár, Vásár tér 9070.                                  

7400 Kaposvár, Füredi út 15109.                                

9330 Kapuvár, Győri út 1374/1.                                 

5300 Karcag, Gyarmati u. 5357/3.                               

5300 Karcag, Madarasi út 67.                                    

3700 Kazincbarcika, Mucsonyi út 2625/4.                        

6237 Kecel, Császártöltési u. 50.                              

6000 Kecskemét, Békéscsabai út 7353/1.                         

6000 Kecskemét, Budai u. 10576/4.                              

6000 Kecskemét, M. 5 autópálya 0825/44.                        

6000 Kecskemét, Katona József tér/3 475/3.                     

6000 Kecskemét, Szolnokhegyi út 0652/16.                       

8360 Keszthely, Festetics György u. 4167.                      

8360 Keszthely, Tapolcai út 3048.                              

3384 Kisköre, Mátyás király út 0741/1.                         

6400 Kiskunhalas, Majsai út 18.                                

2340 Kiskunlacháza, Hadház u. 2.                               

6120 Kiskunmajsa, Halasi u. 99.                                

6760 Kistelek, 5. sz. fkl. út 2347/1.                          

5310 Kisújszállás, 4. sz. fkl. út 752.                         

9900 Körmend, Rákóczi Ferenc út 896.                           

9730 Kőszeg, Petőfi Sándor tér 2514.                           

5340 Kunhegyes, Kossuth Lajos u. 74-78.                        

5440 Kunszentmárton, Szentesi út 2409.                         

6090 Kunszentmiklós, Szabadság u. 30.                          

6050 Lajosmizse, 50. sz. fkl. út 0603/2.                       

2016 Leányfalu, Móricz Zsigmond út 165.                        

8960 Lenti, SZéchenyi tér 55/6.                                

8868 Letenye, Bajcsy-Zsilinszky Endre u. 1792/2.               

2071 Páty, M. 1. autópálya 1 0161/20.                          

2071 Páty, M. 1 autópálya 2 0161/16.                           

3350 Kál, M. 3 autópálya 1 084/34.                             

3350 Kál, M. 3 autópálya 2 088/1.                              

4075 Görbeháza, M. 3 autópálya 1 0443/29.                      

4075 Görbeháza, M. 3 autópálya 2 0443/30.                      

4700 Mátészalka, Vásár tér 2215/7.                              

5650 Mezőberény, Békési út 3725/1.                             

3450 Mezőcsát, Nyékládházi út 017.                             

5820 Mezőhegyes, Kinizsi tér 1.                                

5800 Mezőkovácsháza, Mezőhegyesi út 2459.                       

3400 Mezőkövesd, Nyárádi út 0203/2.                            

5400 Mezőtúr, Balassi Bálint u. 2371/1.                        

3508 Miskolc, Pesti út 0108/1.                                 

3508 Miskolc, Pesti út 42463/2.                                 

3540 Miskolc, Vasgyári út 23371/2.                             

2146 Mogyoród, Hungaroring út 0261/11.                         

7700 Mohács, Eszéki út 0132.                                   

7700 Mohács, Pécsi út 225/10.                                   

2200 Monor, 4. sz. fkl. út 0246.                               

8060 Mór, Nemes u. 3312.                                       

9221 Levél, M. 1 autópálya 1 041/4.                            

9221 Levél, M. 1 autópálya 2 041/4.                             

7500 Nagyatád, Lábodi út 2552.                                 

9485 Nagycenk, 84. sz. fkl. út 0136/5.                         

8800 Nagykanizsa, Balatoni út 3032.                            

8800 Nagykanizsa, 4926/4.                                       

8800 Nagykanizsa, Elkerülő út 635/20.                          

2760 Nagykáta, Ady Endre u. 3493/2.                            

2626 Nagymaros, Váci út 119.                                   

5931 Kisszénás, Orosházi út 1763.                               

8291 Nagyvázsony, Templom u. 0412.                             

4300 Nyírbátor, Császári út 4676.                              

4400 Nyíregyháza, Pazonyi út 2547/1.                           

4400 Nyíregyháza, Széna tér 421/2.                              

4400 Nyíregyháza, Tokaji út 0433/28.                           

5900 Orosháza, Kettőssánc tér 2187/1.                          

5900 Orosháza, Vásárhelyi út 1404.                             

7030 Paks, 6. sz. fkl. út 3651.                                

8500 Pápa, Győri út 0225/2.                                    

8500 Pápa, Jókai út 63.                                        

3245 Recsk, 24. sz. fkl. út 055.                               

2119 Pécel, Köztársaság tér 1327/2.                            

7615 Pécs, 6. sz. fkl. út 42239/28.                            

7633 Pécs, Endresz út 521.                                     

7600 Pécs, Komlói út 36792/1.                                  

7624 Pécs, Szigeti út 3285/1.                                  

7673 Kővágószőlős, 0217.                                       

3250 Pétervására, Orgona u. 9.                                 

2085 Pilisvörösvár, 10. sz. fkl. út 0140/31.                   

4090 Polgár, Hajdú u. 16.                                      

3630 Putnok, 26. sz. fkl. út 039/11.                           

2300 Ráckeve, Kossuth Lajos u. 66.                             

9224 Rajka, Bem József u. 598/5.                               

8978 Rédics, 86. sz. fkl. út 575.                              

2651 Rétság, 2. sz. fkl. út 11.                                

3770 Sajószentpéter, Kossuth Lajos út 076.                     

3100 Salgótarján, Budapesti u. 6350.                           

3100 Salgótarján, Rákóczi út 77-89.                            

7000 Sárbogárd, Köztársaság út 147.                            

5720 Sarkad, Vásár tér 1-3.                                    

9600 Sárvár, Vágóhíd u. 1.                                     

7370 Sásd, Noszlopy Gáspár u. 013/6.                           

3980 Sátoraljaújhely, Várhegy u. 10917/16.                     

7960 Sellye, Dózsa György út 93.                               

7800 Siklós, Szent István tér 1211/9.                          

8600 Siófok, 70. sz. fkl. út 3420.                             

6320 Solt, Vecsei u. 52.                                       

9400 Sopron, Határátkelő 1 0923/3.                             

9400 Sopron, Határátkelő 2 0892/7.                             

9400 Sopron, Kőfaragó tér 2459.                                

8330 Sümeg, Alkotmány u. 163/1.                                

6080 Szabadszállás, Petőfi Sándor út 19.                       

5540 Szarvas, Békéscsabai út 3563.                              

7349 Szászvár, Bohádi út 2.                                    

2440 Százhalombatta, Bekötő út 2063/18.                        

3170 Szécsény, Salgótarjáni út 0159.                           

6724 Szeged, Csongrádi sugárút 16004/5.                         

6728 Szeged, Dorozsmai út 20.                                  

6725 Szeged, Kálvária sugárút 96.                              

5520 Szeghalom, Ady Endre út 503.                              

8000 Székesfehérvár, Sárkeresztúri út 8.                        

8000 Székesfehérvár, Seregélyesi út 8197/1.                    

7100 Szekszárd, Csatári Torok út 0322/49.                      

7100 Szekszárd, 56. sz. fkl. út 7407/1.                        

7100 Szekszárd, 56. sz. fkl. út 3/8.                            

2000 Szentendre, Vasúti villasor 6.                            

6600 Szentes, Attila út 3965/3.                                

9970 Szentgotthárd, Rábafüzesi út 1.                           

3900 Szerencs, 37. sz. fkl. út 064/3.                           

2315 Szigethalom, Petőfi Sándor u. 2308/1.                     

7900 Szigetvár, József Attila u. 66.                           

3800 Szikszó, Vásár tér 1279/2.                                

2628 Szob, Zebegényi út 924.                                    

5000 Szolnok, Elkerülő út 19703/6.                             

5000 Szolnok, Abonyi út 7740.                                  

5000 Szolnok, Gábor Áron tér 1221/2.                           

5000 Szolnok, Pozsonyi út 2765/58.                              

9700 Szombathely, Ady Endre tér 6027/2.                        

9700 Szombathely, Zanati út 15202.                             

9700 Szombathely, Zanati út 7273/48.                           

8660 Tab, Siófoki út 1142.                                      

7090 Tamási, Szabadság u. 90.                                  

8300 Tapolca, Keszthelyi u. 1917.                              

8300 Tapolca, Kossuth út 574.                                  

2890 Tata, Vértesszőlősi út 4142/6.                            

2800 Tatabánya, Győri út 11002/39.                             

4243 Téglás, 4. sz. fkl. út 0181/4.                            

5350 Tiszafüred, Ady Endre út 1376/12.                         

6060 Tiszakécske, Szolnoki u. 1489.                            

4450 Tiszalök, Táncsics Mihály u. 86.                          

3580 Tiszaújváros, 35. sz. fkl. út 1120.                       

3910 Tokaj, Tarcali út 86.                                     

7130 Tolna, Szendresi u. 1096/1.                               

2045 Törökbálint, M. 0 autópálya 0199/2.                       

5200 Törökszentmiklós, Kossuth Lajos út 92-94.                 

5420 Túrkeve, Kisújszállási u. 1754/2.                         

4244 Újfehértó, 4. sz. fkl. út 012/2.                          

2600 Vác, Balassagyarmati út 1917/4.                           

2600 Vác, Diadal tér 3695.                                     

7838 Vajszló, Széchenyi István út 34.                          

4287 Vámospércs, Debreceni út 55/2.                            

8100 Várpalota, 8. sz. fkl. út 0342.                           

8100 Várpalota, 8. sz. fkl. út 3352.                           

4800 Vásárosnamény, Nyíregyházi út 1.                          

2481 Velence, M. 7 autópálya 1 539/13.                         

2481 Velence, M. 7 autópálya 2 625.                            

2112 Veresegyház, Fő u. 1489.                                  

8200 Veszprém, Budapesti u. 3213.                              

7773 Villány, Virágosi út 0101/7.                              

2025 Visegrád, 11. sz. fkl. út 169/4.                          

4625 Záhony, 4. sz. fkl. út 030/20.                            

8900 Zalaegerszeg, Balatoni út 2726/2.                         

8900 Zalaegerszeg, Balatoni út 2736/2.                         

8900 Zalaegerszeg, Zrinyi Miklós út 20.                        

8749 Zalakaros, Thermál út 1.                                  

8621 Zamárdi, Endrédi út 2267/1.                                

5000 Szolnok, Mária út 43.                                     

8420 Zirc, Kossuth Lajos út 433.                               

8943 Bocfölde, 0145/1.                                         

4064 Nagyhegyes, 0159/1.                                        

6131 Szank, 1165                                               

8448 Ajka, 8. sz. fkl. út 4066.                                

3078 Bátonyterenye, 21. sz. fkl. út 1016/2.                    

5600 Békéscsaba, Gyulai út 1493/7.                              

2049 Diósd, 70. sz. fkl. út 3666/1.                            

3780 Edelény, 27. sz. fkl. út 624/1.                           

4200 Hajdúszoboszló, Debreceni út 3530/2.                      

3000 Hatvan, M. 3 autópálya 1 0335/3.                           

6000 Kecskemét, Katona József tér 475/3.                       

2144 Kerepes, Szabadság út 2529/5.                             

4600 Kisvárda, Attila út 2016/2.                               

7300 Komló, Feketegyémánt tér 2350/1.                           

3526 Miskolc, Búza tér 4092/3.                                 

3600 Ózd, Vasvár út 7976.                                      

7632 Pécs, Lahti út 21169/6.                                   

7720 Pécsvárad, 6. sz. fkl. út 1819/16.                         

3950 Sárospatak, Wesselényi Miklós út 1915.                    

6771 Szeged, Makai út 323/4.                                   

2800 Tatabánya, Kossuth Lajos u. 5359/2.                       

9800 Vasvár, Dr. Tretter ászló u. 52.                          

8999 Zalalövő, Bajcsy-Zsilinszky E. út 3.                      

6411 Zsana, 086/20.                                            

4621 Fényeslitke, 0157/1 hrsz.                                 

8840 Csurgó, 0110/5 hrsz.                                       

8887 Bázakerettye, 125. hrsz.                                  

8800 Nagykanizsa, Múzeum tér 2/B.                              

6750 Algyő, 47. sz. fkl út 01748/5.                            

7400 Kaposvár, Füredi út 180.                                  

9955 Rábafüzes, Alkotmány u. 79/ A .                           

2451 Ercsi, M6 autópálya 30. km jobb oldal                     

2451 Ercsi, M6 autópálya 30. km bal oldal                      

9813 Gersekarát, Külterület hrsz. 0115/17.                     

9813 Gersekarát, Külterület hrsz. 0115/18.                     

9813 Gersekarát, Külterület hrsz. 0115/2.                      

1051 Budapest, Erzsébet tér 7-8.                               

8105 Pétfürdő, Iskola utca 5.                                  

2451 Ercsi, M6 autópálya 30. km jobb oldal 0245/12hrsz.        

2451 Ercsi, M6 autópálya 30. km bal oldal 0245/12hrsz.         

8840 Csurgó, 010/5 hrsz.                                       

4138 Komádi, Szent István út 33.                               

8700 Marcali, Noszlopy Gáspár utca 16.                         

8448 Bakonygyepes, 8. sz. fkl. út 4066 hrsz.                   

2013 Pomáz, József Attila út (HÉV megálló) 2728/13 hrsz.       

4150 Püspökladány, Keleti sor 17 4874/12hrsz.                  

8943 Bocfölde, (Csatár) 0145/1.                                

4064 Nagyhegyes, 0159.                                         

6131 Szank, 1165.                                              

8448 Ajka-Bakonygyepes, 8. sz. fkl. út 4066.                   

5600 Békéscsaba, Gyulai út 1493.                               

2144 Kerepestarcsa, Szabadság út 2529/5.                       

3526 Miskolc, Búza tér 4029/3.                                 

3603 Sajóvárkony, Vasvár út 7976.                              

7632 Pécs, Lahti út 21169.                                     

7720 Pécsvárad, Lovászhetény, 6. sz. fkl. út 1819/16.          

3950 Sárospatak, Végardó, Wesselényi Miklós út 1915.           

6771 Szeged, Makai sugárút 323/4.                              

2800 Tatabánya, Kossuth Lajos u. 5359.                         

9800 Vasvár, Dr. Trenner László u. 52.                         

8999 Zalalövő, Bajcsy-Zsilinszky út 3.                          

 

 

Employees

 

2005.   5348 employees                                         

2006.   5177 employees                                         

 

 

Annual turnover

 

1996.   consolidated net income     HUF     469 312 907 000    

1997.   consolidated net income     HUF     634 863 592 000    

1998.   consolidated net income     HUF     634 214 000 000    

2000.   consolidated net income     HUF   1 025 368 000 000    

2001.   consolidated net income     HUF   1 190 143 000 000    

2002.   consolidated net income     HUF   1 273 086 000 000    

2003.   consolidated net income     HUF   1 524 336 000 000    

2004.   consolidated net income     HUF   1 971 956 000 000    

2005.   consolidated net income     HUF   2 473 614 000 000    

2006.   consolidated net income     HUF   2 998 252 000 000    

                        All income                  HUF   2 997 967 000 000    

2006.03.31. consolidated net income     HUF     798 669 000 000    

2006.06.30. All income                  HUF   1 590 813 000 000    

2007.06.30. consolidated net income     HUF   1 142 206 000 000    

 

 

Property   

 

we do not have data about the real estate                      

 

 

Balance sheets 

 

2007. I. félévi konszolidált mérleg (IFRS) (06/30/2007 - 1000000 HUF)           

2007. I. félévi konszolidált "A" eredménykimutatás (IFRS) (06/30/2007 - 1000 HUF)                                                                           

2006. évi konszolidált mérleg (főbb adatok) (12/31/2006 - 1000000 HUF)         

2005.évi konsz auditált  (IFRS)mérleg (egyéb forrás) (12/31/2005 - 1000000 HUF)                                                                           

2004. évi Konszolidált beszámoló MÉRLEG (hivatalos forrás) (12/31/2004 - 1000000 HUF)                                                                    

2006. évi konszolidált "A" eredménykimutatás (főbb adatok) (12/31/2006 -  1000000 HUF)                                                                   

2005.évi konsz auditált (IFRS) "A" eredményk.(egyéb forrás) (12/31/2005 -  1000000 HUF)                                                                   

2004. évi Konszolidált beszámoló EREDMÉNYKIMUTATÁS összkölts (12/31/2004 -  1000000 HUF)                                                                   

2006. I. félévi mérleg nem auditált (IFRS) (06/30/2006 - 1000000 HUF)          

2006. I. félévi eredménykimutatás nem auditált (IFRS) (06/30/2006 - 1000000 HUF)

2006.I.n.év konsz. nem auditált (IFRS)eredményk. (egyéb for (03/31/2006 -  1000000 HUF)                                                                    

2006.I.n.év konsz nem auditált (IFRS) mérleg (egyéb forrás) (03/31/2006 -   1000000 HUF)                                                                   

2005. évi mérleg (hivatalos forrás) (12/31/2005 - 1000000 HUF)                 

2004. évi Éves beszámoló MÉRLEG "A" változat Eszközök + Forr (12/31/2004 -  1000000 HUF)                                                                   

2005. évi "A" eredménykimutatás (hivatalos forrás) (12/31/2005 - 1000000 HUF)  

2004. évi Éves beszámoló Összköltség eljárással készített er (12/31/2004 -   1000000 HUF)                                                                   

2005.09.30.konsz nem auditált mérleg (egyéb forrás) (09/30/2005 - 1000000 HUF) 

2005.09.30.konsz.nem auditált "A" eredményk.IFRS (egyéb forr (09/30/2005 -   1000000 HUF)                                                                   

2005.06.30.konsz .nem auditált mérleg (IFRSszereint) (06/30/2005 - 1000000 HUF)

2005.06.30.konsz nem auditált "A" eredményk. (IFRSszerint) (06/30/2005 - 1000000 HUF)                                                                   

2005.03.31.konsz.nem auditált mérleg  (03/31/2005 - 1000000 HUF)               

2005.03.31.konsz nem auditált "A" eredménykimutatás (03/31/2005 - 1000000 HUF) 

 

 

Remarks 

 

The enclosed balance sheet for 2005 is originated from other source, it is authenticated by the auditor.                   

 

The enclosed balance sheet of 2006 is made from other source, it is authenticated by the auditor.                            

 

The enclosed balance sheet of 31/03/2006 is coming from other source and authenticated by the auditor.                                                       

 

The enclosed balance sheet of 30/06/2006 and 30/06/2007 is originating from other source and is not authenticated.                                                       

 

Syndicates (name and equity quota in %)                                                          

- Balatongáz Kft  77,22                                        

- BHM Oil-Invest Ltd. (Quatar) 100                             

- EMS Management Services  100                                 

- Hawasina GmbH    100                                         

- Geofizikai Szolgáltató(GES)Kft 100                           

- Geoinform Kft.  100                                          

- Hermész Kft.  100                                            

- Intermol d.o.o.  100                                         

- Mineralkontor GmbH.   74                                     

- MOL Austria GmbH.   100                                      

- MOL Caspian Ltd.    100                                      

- MOL CIS Oil and Gas Ltd.  100                                

- MOL Földgázszállitó Zrt.  100                                

- SHM Seven Investments Ltd. (Greece)  100                                                

- MOL LUB Kft.    100                                          

- MOL Pakistan Oil andGas Co.B.V.10O                            

- MOL Reinsurance Ltd.   100                                   

- MOL Romania PP s.r.l.  100                                   

- MOL Slovenia d.o.o.    100                                   

- MOL Syria Oil and Gas Co.B.V.  100                           

- MOL Yemen Oil Oil and Gas Ltd. 100                           

- MOLTRADE-Mineralimpex Zrt.     100                           

- MOL Trans Kft.    100                                        

- Petrolszolg. Kft. 100                                         

- Roth Heizöle GmbH.  74,99                                    

- Alpenkohle Mineralölhandels GmbH. 74,99                                                        

- Egon von Lenz GmbH.  74,99                                    

- Heizöl Blitz Stadler GmbH.  15                               

- Rumpold Energie&Brennstoffhandels GmbH.  74,99                                                 

- RUSI Services Ltd. (Nile)  100                               

- Terméktároló Zrt.  74,07                                     

- SC Aviation Petroleum SRL  100                               

- Slovnaft a.s.   98,41                                        

- Apollo Oil Rohstoffhandels GmbH. 65,93                                                         

- Apollo Rafineria s.r.o.  98,41                               

- MOL Slovensko s.r.o.   98,41                                 

- Slovnaft Ceská Republika s.r.o.100                           

- SlovnaftMontáze a opravy a.s.98,41                            

- Slovnaft Petrochemicals   98,41                              

- Slovnaft Polska S.A.   98,41                                 

- Slovnaft Trans a.s.    98,41                                 

- Slovnaft Ukrajna s.r.o. 87,58                                 

- Slovnaft Vúrup a.s.   98,41                                  

- SWS Vojany s.r.o. 50,34                                      

- Ukroslovnaft 83,22                                           

- Zväz pre skladovanie zásob, a.s.   98,41                     

- TVK Nyrt. 61                                                 

- TVK Ingatlankezelő Kft. 52,61                                

- TVK Inter-Chemol GmbH. 52,01                                 

- TVK Italia Srl. 52,61                                         

- TVK France s.a.r.l. 52,61                                    

- TVK Polska Spzoo. 52,61                                      

- TVK UK Ltd. 52,61                                            

- TVK Ukrajna 52,61                                             

- TVK Erőmű Kft. 13,68                                         

- UBA Services Ltd. 100,00                                     

- Danuoil Mineralöllager und   Umschlags GmbH. 37,50           

- INA Csoport 25,00                                             

- IN-ER Erőmű Kft. 30,00                                       

- Messer MOL Gáz Kft. 25,00                                    

- Villas Hungária Kft. 40,00                                   

- Messer Slovnaft s.r.o. 48,22                                 

- Chémia Bratislava a.a. 48,19                                 

- Tiszai Hulladékégető Kft. 26,28                              

- Tűzoltó és Műszaki Mentő Kft.   45,78                        

- VIBA-TVK Kft. 21,04                                          

- MEROCA AS 24,06                                              

- USA Ltd 100                                                  

- LAMORAK Enterprises Ltd Tunisia   100                        

 

                                                                               

Interests

 

Interested  9310299344        BNP PARIBAS HUNGÁRIA BANK              

party:                        ZRT                                    

Interest:   9310540616        BNPP Ingatlankezelő Kft     Owner      

Interested  9311828888        Dr. Dobák Miklós                       

party:                                                         

Interest:   9310038073        IFUA HORVÁTH & PARTNERS     Owner      

                             Vezetési és Informatikai               

                             Tanácsadó Korlátolt                    

                             Felelősségű Társaság                   

Interested  9311828888        Dr. Dobák Miklós                       

party:                                                          

Interest:   9310950579        IFUA Vezetési és            Manager    

                             Informatikai Tanácsadó                 

                             Korlátolt Felelősségű                   

                             Társaság                               

Interested  9311828888        Dr.  Dobák Miklós                       

party:                                                         

Interest:   9310950579        IFUA Vezetési és            Owner      

                             Informatikai Tanácsadó                 

                             Korlátolt Felelősségű                  

                             Társaság                               

Interested  9311828888        Dr.   Dobák Miklós                       

party:                                                         

Interest:   9310828577        JÁSZFÉNYSZARU IPARI         Supervisory 

CENTRUM Korlátolt           Board      

Felelősségű Társaság                   

Interested  9311828888        Dr.   Dobák Miklós                       

party:                                                         

Interest:   9310660841        MÉRLEG D&P Gazdaságii       Owner      

                             Tanácsadó Korlátolt                     

                              Felelősségű Társaság                   

Interested  9312604045        Fekete László                          

party:                                                         

Interest:   9314155012        MSZKSZ Biztonsági           Board of   

                              Földgáztároló Zártkörűen    directors  

                              Működő Részvénytársaság                

Interested  9311033561        Magyar Olaj- és Gázipari               

party:                        Bányász Szakszervezet                  

Interest:   9310763758        FÁKLYALÁNG Kulturális-,     Members    

Sport-, Szabadidő-,                    

                              Szociális-szolgáltató és               

                              Tanácsadó Közhasznú Társaság            

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310810667        ALFAGAS Kőolaj, Gáz és      Owner      

                              Vegyianyag Export-Import               

                              Korlátolt Felelősségű                  

                              Társaság                                

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310882546        ALGYŐI Erőművet Beruházó    Owner      

                              és Üzemeltető Korlátolt                

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310077408        ÁMEI Ásványolajtermék       Shareholder

                              Minőségellenőrzési                     

                              Zártkörűen Működő                      

                              Részvénytársaság                       

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                    

                              Működő Részvénytársaság                

Interest:   9310841482        BALATONGÁZ Balaton-         Owner      

                              felvidéki Önkormányzati                

                              Gázberuházó és Hasznosító              

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310444666        BC-ERŐMŰ Korlátolt          Owner      

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310149844        DUNARENT Közúti             Owner      

                              Szolgáltató és Szerviz                 

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310193833        EGERFÉM Ipari és            Owner      

                              Kereskedelmi Korlátolt                 

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310687234        FER Tűzvédelmi Szolgáltató  Members    

                              Egyesülés                              

Interested  9310000627        MOL Magyar Olaj- és                     

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310137610        GENERÁL GOMSZ Gáz és        Owner      

                              Olajipari Műszaki                       

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310939111        Hermész Mérnöki Tanácsadó   Owner      

                              és Nagykereskedelmi                    

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                    

                              Működő Részvénytársaság                

Interest:   9310120802        IN-ER Erőmű Korlátolt       Owner      

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                     

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310607340        Magyar Aszfaltipari         Members    

                              Egyesülés                              

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310821833        Magyar-Amerikai Geotermia   Owner      

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627       MOL Magyar Olaj- és                     

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310939112        Ménrót Műszaki Gazdasági    Owner      

                              Tanácsadó Korlátolt                    

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9315715711        MOL Energiakereskedő        Owner      

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310411506        MOL Földgázszállító         Shareholder

                              Zártkörűen Működő                      

                              Részvénytársaság                       

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310341123        MOL-LUB Kenőanyag Gyártó    Owner      

                              Forgalmazó és Szolgáltató              

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310012531        MOLTRADE-Mineralimpex       Shareholder

                              Kereskedelmi Zártkörűen                

                              Működő Részvénytársaság                 

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9314155012        MSZKSZ Biztonsági           Shareholder

                              Földgáztároló Zártkörűen               

                              Működő Részvénytársaság                

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9311087375        NGF Nemzetközi              Members    

                              Gazdaságfejlesztési                    

                              Közhasznú Társaság                     

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                 

Interest:   9310076552       Nyírbogdányi Kőolajipari    Owner      

                              Karbantartó és Szolgáltató             

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310092518        OILTECH Olajipari           Owner      

                              Technológiai Szerelő és                

                              Vezetéképítő Korlátolt                 

                              Felelősségű Társaság                    

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310026411        PETROLSZOLG Karbantartó és  Owner      

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9314123787        SEP Company Tanácsadó       Owner      

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                 

Interest:   9310007911        Tiszai Vegyi Kombinát       Shareholder

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310111078        TMM Tűzoltó és Műszaki      Owner      

                              Mentő Korlátolt                        

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9314244272        Top Finance Számviteli      Owner      

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                    

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310045050        VILLAS HUNGÁRIA Szigetelő-  Owner      

                              , Fedéllemezgyártó és                  

                              Értékesítő Korlátolt                   

                              Felelősségű Társaság                   

Interested  9310000627        MOL Magyar Olaj- és                    

party:                        Gázipari Nyilvánosan                   

                              Működő Részvénytársaság                

Interest:   9310034773        ZALA-PETROLTRANSZ           Owner      

                              Olajipari Fuvarozó és                  

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                   

Interested  9310034887        OMV Hungária Ásványolaj                

party:                        Korlátolt Felelősségű                  

                              Társaság                               

Interest:   9310241077        DUNATÁR Kőolajterméktároló  Owner      

                              és Kereskedelmi Korlátolt              

                              Felelősségű Társaság                   

Interested  9310034887        OMV Hungária Ásványolaj                

party:                        Korlátolt Felelősségű                  

                              Társaság                               

Interest:   9310607340        Magyar Aszfaltipari         Members    

                              Egyesülés                              

Interested  9310034887        OMV Hungária Ásványolaj                 

party:                        Korlátolt Felelősségű                  

                              Társaság                               

Interest:   9310835636        OMV-VIVA Kereskedelmi és    Owner      

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                   

Interested  9310034887        OMV Hungária Ásványolaj                

party:                        Korlátolt Felelősségű                  

                              Társaság                               

Interest:   9310849040        SuperShop Marketing         Owner      

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                        

Interest:   9310984830        Agrocom 2004. Gazdasági     Owner      

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                   

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310805467        Air-Invest Vagyonkezelő     Owner      

                              Korlátolt Felelősségű                  

                             Társaság                               

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310010243        HAGE Hajdúsági Agráripari   Shareholder

                              Zártkörűen Működő                      

                              Részvénytársaság                       

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                       

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310232477        Honeywell ESCO              Shareholder

                              Magyarország Energiahatékonysági             

                              Szolgáltató Zártkörűen                 

                              Működő Részvénytársaság                

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310713006        INGA KETTŐ Ingatlankezelő   Owner       

                              és Hasznosító Korlátolt                

                              Felelősségű Társaság                   

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                       

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310209316        Merkantil Váltó és          Shareholder

                              Vagyonbefektető Bank                   

                              Zártkörűen Működő                      

                              Részvénytársaság                       

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310048434        OTP Befektetési,            Shareholder

                              Ingatlanforgalmazási és                

                              Vagyonkezelő Zártkörűen                

                              Működő Részvénytársaság                

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9313058942        OTP Életjáradék             Shareholder

                              Ingatlanbefektető                      

                              Zártkörűen Működő                      

                              Részvénytársaság                        

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310003240        OTP Garancia Biztosító      Shareholder

                              Zártkörűen Működő                      

                              Részvénytársaság                       

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                        

Interest:   9311060984        OTP Hungaro-Projekt         Owner      

                              Pénzügyi Műszaki-Gazdasági             

                              Tanácsadó és Szervező                  

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310901898        OTP Ingatlan Befektetési    Shareholder

                              Alapkezelő Zártkörűen                  

                              Működő Részvénytársaság                

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                      

                              Részvénytársaság                       

Interest:   9310359534        OTP Jelzálogbank            Shareholder

                              Zártkörűen Működő                      

                              Részvénytársaság                       

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9311142701        OTP Kártyagyártó és         Owner      

                              Szolgáltató Korlátolt                  

                              Felelősségű Társaság                    

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                        

Interest:   9311200053        OTP Lakáslízing Zártkörűen  Shareholder

                              Működő Részvénytársaság                

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310759476        OTP Lakástakarékpénztár     Shareholder

                              Zárkörűen Működő                       

                              Részvénytársaság                       

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                       

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9311150232        OTP Pénztárszolgáltató és   Shareholder

                              Tanácsadó zártkörűen                   

                              működő Részvénytársaság                

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9311170441        OTP Trade Kereskedelmi      Owner      

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                      

                              Részvénytársaság                       

Interest:   9310049191        OTP Travel Korlátolt        Owner      

                              Felelősségű Társaság                   

Interested  9310007548        Országos Takarékpénztár és             

party:                        Kereskedelmi Bank                      

                              Nyilvánosan Működő                     

                              Részvénytársaság                       

Interest:   9310167743        Ózdi Hengermű Ipari és      Owner      

                              Kereskedelmi Korlátolt                 

                              Felelősségű Társaság                   

                              felszámolás alatt                       

Interested  9315665499        Sivó Imre                              

party:                                                         

Interest:   9310932026        EUROMENTOR MEDICAL          Owner      

                              Tanácsadó és Szolgáltató               

                              Korlátolt Felelősségű                  

                              Társaság                               

Interested  9315665499        Sivó Imre                              

party:                                                          

Interest:   9310009814        VÁRDA-DRINK Szeszipari      Board of   

                              Zártkörűen Működő           directors  

                              Részvénytársaság                       

Interested  9315665499        Sivó Imre                              

party:                                                         

Interest:   9310871352        X. O. 2000 Üzleti           Representative

                              Tanácsadó Betéti Társaság               

Interested  9314143489        Thernesz Artur Lajos                   

party:                                                         

Interest:   9314145667        Magyar Szénhidrogén         Board of   

                              Készletező Szövetség        directors  

 

 

Bank relations

 

Mecsekvidéke Takarékszövetkezet:                               

Central address: HU Olasz, Kossuth L. u. 2.                    

Account number: 503000511000029000000000                       

                                                                                

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080010363009900009                       

Account number: 120010080010363000100006                       

                                                                               

CIB Bank Zrt Medve u. fiók:                                    

Central address: HU Budapest, Medve u. 4-14.                    

Account number: 107000240259620451100005                       

 

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080010363003800004                        

                                                                               

Budapest Bank Nyrt. Dunaújvárosi fiók:                         

Central address: HU Dunaújváros, Dózsa György u. 4/b.          

Account number: 101029690110012000000007                       

                                                                               

K&H Bank Nyrt. 392 Siófok:                                     

Central address: HU Siófok, Kele u. 1-3.                       

Account number: 102005313961372900000000                       

                                                                               

Citibank Zrt:                                                  

Central address: HU Budapest, Szabadság tér 7.                  

Account number: 108000078113303900000000                       

                                                                               

UniCredit Bank Hungary Zrt.:                                   

Central address: HU Budapest, Alkotmány u. 4.                  

Account number: 109000110000000202100197                       

 

CALYON Bank:                                                   

Central address: HU Budapest, József nádor tér 7.              

Account number: 136000191000201020000961                       

 

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137000160101504500000000                       

Account number: 137000160101505200000000                       

                                                                               

K&H Bank Nyrt. 256 Kiskunhalas:                                

Central address: HU Kiskunhalas, Bokányi Dezső u. 1.            

Account number: 104025682569621900000000                       

                                                                               

MKB Bank Nyrt.:                                                

Central address: HU Budapest, Szent István tér 11.             

Account number: 103000022035989400003285                       

                                                                               

K&H Bank Nyrt. 109 Budapest:                                   

Central address: HU Budapest, Csörsz u. 43. (MOM Park)         

Account number: 102010994009400900000000                       

 

Citibank Zrt:                                                  

Central address: HU Budapest, Szabadság tér 7.                 

Account number: 108000071113306300000000                       

 

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137010170101510000000000                       

 

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080010363004200005                       

 

OTP Központi Fiók, V. Nádor u.:                                

Central address: HU Budapest, Nádor u. 21.                     

Account number: 117940082051175300000000                       

 

BNP PARIBAS HUNGÁRIA BANK RT.:                                 

Central address: HU Budapest, Honvéd u. 20.                    

Account number: 131000070000000215867001                       

 

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080010363002200009                        

                                                                               

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137000160101506900000000                        

 

Citibank Zrt:                                                  

Central address: HU Budapest, Szabadság tér 7.                 

Account number: 108000079113304700000000                       

                                                                                

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137000160101502100000000                       

 

MKB Bank Nyrt.:                                                 

Central address: HU Budapest, Szent István tér 11.             

Account number: 103000022016319200003285                       

 

Citibank Zrt:                                                  

Central address: HU Budapest, Szabadság tér 7.                 

Account number: 108000072463801800000000                       

Account number: 108000075463700300000000                       

                                                                                

CIB Bank Zrt Medve u. fiók:                                    

Central address: HU Budapest, Medve u. 4-14.                   

Account number: 107000240259620450000005                       

Account number: 107000240259620450500000                        

 

COMMERZBANK ZRT. (Budapest):                                   

Central address: HU Budapest, Széchenyi rkp. 8.                

Account number: 142201080890300000000000                       

                                                                                

Erste Bank Nyrt.:                                              

Central address: HU Budapest, Népfürdő u. 24-26.               

Account number: 116000060000000003415788                       

                                                                                

IEB Budapest:                                                  

Central address: HU Budapest, Szabadság tér 15.                

Account number: 111001041062579001000003                       

                                                                                

CALYON Bank:                                                   

Central address: HU Budapest, József nádor tér 7.              

Account number: 136000194000201020000964                        

                                                                               

ING Bank Rt.:                                                  

Central address: HU Budapest, Dózsa György út 84/B.            

Account number: 110099930043382600000000                       

                                                                               

UniCredit Bank Hungary Zrt. Head Office:                       

Central address: HU Budapest, Szabadság tér 5-6.               

Account number: 109180010000000202100049                       

                                                                               

K&H Bank Nyrt. 109 Budapest:                                   

Central address: HU Budapest, Csörsz u. 43. (MOM Park)          

Account number: 102010994009400900000000                       

                                                                               

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080020299700100006                       

                                                                               

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137000160134801500000000                       

                                                                               

CALYON Bank:                                                    

Central address: HU Budapest, József nádor tér 7.              

Account number: 136000191000201020000961                       

                                                                               

KELER Zrt.:                                                     

Central address: HU Budapest, Asbóth u. 9-11.                  

Account number: 144000181062579010600010                       

 

Citibank Zrt:                                                  

Central address: HU Budapest, Szabadság tér 7.                 

Account number: 108000072113307100000000                       

                                                                               

CIB Bank Zrt Medve u. fiók:                                    

Central address: HU Budapest, Medve u. 4-14.                   

Account number: 107000240259620451100005                       

                                                                               

Citibank Zrt:                                                   

Central address: HU Budapest, Szabadság tér 7.                 

Account number: 108000078113303900000000                       

Account number: 108000071113306300000000                       

                                                                                

K&H Bank Nyrt. 109 Budapest:                                   

Central address: HU Budapest, Csörsz u. 43. (MOM Park)         

Account number: 102010994009400900000000                       

                                                                                

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137430150101510000000000                       

                                                                                

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137100150101510000000000                        

 

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137040100101510000000000                       

                                                                                

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137100150101510000000000                       

                                                                                

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137040100101510000000000                       

                                                                                

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137430150101510000000000                        

                                                                               

K&H Bank Nyrt. 109 Budapest:                                   

Central address: HU Budapest, Csörsz u. 43. (MOM Park)         

Account number: 102010994009400900000000                        

Account number: 102010994009400900000000                       

                                                                               

BNP PARIBAS HUNGÁRIA BANK RT.:                                 

Central address: HU Budapest, Honvéd u. 20.                    

Account number: 131000070200367001813485                       

Account number: 131000070200367000848408                       

Account number: 131000070200367000849784                       

Account number: 131000070200367000843489                       

                                                                               

UniCredit Bank Hungary Zrt. Head Office:                       

Central address: HU Budapest, Szabadság tér 5-6.               

Account number: 109180010000000202100506                       

                                                                               

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080014195400500007                       

 

Budapest Bank Nyrt. Óbudai fiók:                               

Central address: HU Budapest, Bécsi út 38-44.                  

Account number: 101021031044250000000301                       

Account number: 101021031044250000000992                       

 

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                   

Account number: 120010080010363000900002                       

Account number: 120010080010363001200006                       

Account number: 120010080010363001900005                       

Account number: 120010080010363003700007                       

Account number: 120010080010363000700008                       

Account number: 120010080010363000300000                       

Account number: 120010080010363000200003                       

Account number: 120010080011836500100007                       

Account number: 120010080011836500200004                       

Account number: 120010080011836500300001                       

                                                                               

CIB Bank Zrt Medve u. fiók:                                    

Central address: HU Budapest, Medve u. 4-14.                   

Account number: 107000240259620452000001                       

Account number: 107000240259620452100008                       

 

ING BANK ZRT:                                                  

Central address: HU Budapest, Dózsa György út 84/b.            

Account number: 137000160101507600000000                       

 

Raiffeisen Bank Zrt. Budapesti Fiók:                           

Central address: HU Budapest, Akadémia u. 6.                    

Account number: 120010080011836500400008                       

Account number: 120010080011836500500005                       

Account number: 120010080011836500600002                       

                                                                                

OTP Központi Fiók Belföldiek Devizái:                          

Central address: HU Budapest, Deák Ferenc u. 7-9.              

Account number: 117639450081301500000000                       

                                                                                

BNP PARIBAS HUNGÁRIA BANK RT.:                                 

Central address: HU Budapest, Honvéd u. 20.                    

Account number: 131000070200367000849784                       

Account number: 131000070200367000843489                       

Account number: 131000070200367000848408                       

Account number: 131000070200367001813485                       

 

 

Company development                                                                     

 

Company development positive                               (21)

 

 

Business course

 

good                                                       (21)

 

 

Terms of payment

 

within stipulated term                                     (21)

 

 

Business connection 

 

The establishing of the business connection is recommended                                                    

 

 

Credit limit

 

HUF     99 999 999                                                             

EUR      404 000                                                                

                                                                                               

The above limit is the maximum which can be given by Creditreform.             

 

Referring to the significance of the company, according to our calculation, the credit limit can be extended until HUF    78 702 094 000 (EUR     317 956 460) but for own responsibility.  

 

Number of queries

 

Duration Queries 4 weeks 4 - 8 weeks 8 weeks - 12 months

 

A. 2007. I. félévi konszolidált mérleg (IFRS) (06/30/2007 - 1000000 HUF) -     

 

The figures stated in the balance sheet may contain error(s).         

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 271 200                                   

Intangible assets                    103 798                                   

- Rights representing assets                                                    

- Goodwill                                                                     

Advanced money given for                                                       

intagible assets                                                                

- Intellectual products                                                        

- Capitalized value of                                                         

experimental development                                                        

- Capitalized value of                                                         

incorporation/reorganization                                                   

- Adjustment of the value of                                                   

intangible assets                                                              

Tangible assets                      985 068                                   

- Immovables                                                                   

- Technological equipment,                                                     

machinery and vehicles                                                         

- Other equipment, appliances                                                  

and vehicles                                                                    

animals for breeding                                                           

- Investments                                                                  

- Advance payments made towards                                                 

investments                                                                    

 - Adjustment of the value of                                                  

tangible assets                                                                 

Financial means invested             137 112                                   

Permanent interest in                                                          

associated company                                                              

Permanent loan given in                                                        

associated company                                                             

Other permanent interest                                                       

Permanent loan given in other                                                  

participating relation                                                         

Other loan given to a longer                                                   

period                                                                          

Security personifying permanent                                                

credit relation                                                                

- Adjustment of the value of                                                   

liquid assets invested                                                         

CURRENT ASSETS                       722 300                                   

Inventories                          207 568                                   

- Materials                                                                    

- Commodities                                                                  

- Advance payments made towards                                                 

inventories                                                                    

- Livestock                                                                    

- Incomplete production and                                                     

semi-finished products                                                         

- Finished products                                                            

Accounts receivable                                                             

- Receivables from clients on                                                  

account of deliveries                                                          

Receivables from associated                                                    

company                                                                         

Receivables from other                                                         

participating relation                                                         

- Bills receivable                                                              

- Other receivables                                                            

Securities                                                                     

Interest in associated company                                                  

Other interest                                                                 

Securities personifying                                                        

circulational credit relation aim                                                

Treasury stock, business quotas                                                

Liquid assets                        175 970                                   

- Cash at hand and cheques                                                      

- Bank deposits                                                                

ACCRUED AND DEFERRED ASSETS                                                    

Accrued and deferred assets of                                                  

revenues                                                                       

Accrued and deferred assets of                                                 

expenses, expenditures                                                         

Postponed expenditures                                                         

TOTAL ASSETS                       1 993 500                                   

SHAREHOLDERS' EQUITY               1 058 197                                   

Capital subscribed                    77 277                                   

own shares redeemed at par value                                               

Capital subscribed but not yet                                                 

paid                                                                            

Capital reserve                                                                

Profit reserve                                                                 

Locked-up reserve                                                               

Provision for re-evaluation                                                    

differences                                                                    

Result as per balance-sheet                                                     

SPECIFIC RESERVES                                                              

Specific reserves for                                                          

anticipated liabilities                                                         

Provisions for the future                                                      

expenses                                                                       

Other provisions                                                               

LIABILITIES                                                                    

Other liabilities                                                              

Long-term liabilities                438 611                                   

- Investment and development                                                   

credits                                                                        

- Other long-term credits                                                      

- Long-term loans received                                                      

Convertible securities                                                         

- Debts assumed on the issue of                                                

bonds                                                                           

Permanent liabilities to                                                       

associated company                                                             

Permanent liabilities to other                                                  

participating relation                                                         

- Other long-term liabilities                                                  

Short-term liabilities               496 692                                    

- Advance payments received                                                    

from customers                                                                 

- Liabilities from deliveries                                                  

and services (suppliers)                                                       

- Bills payable                                                                

Short-term liabilities towards                                                 

affiliated companies                                                           

Short-term liabilities towards                                                 

companies in which other                                                       

participations are held                                                         

- Short-term credits                                                           

- Short-term loans                                                             

from this: convertible securities                                                

- Other short-term liabilities                                                 

ACCRUED EXPENSES                                                               

Accrued expenses of revenues                                                    

Accrued expenses of costs,                                                     

expenditures                                                                   

Postponed revenues                                                              

TOTAL LIABILITIES                  1 993 500                                   

Balance indices                            A                B                 C

Liquidity 1                           1.4542                                    

Liquidity 2                           1.0363                                   

Rate of tangible assets               49.41%                                   

(Tangible assets/Fixed assets)                                                 

Rate of current assets (Current       36.23%                                   

assets/Fixed assets)                                                           

Capital (Shareholders' equity/Sources)      53.08%                                   

Security of fixed assets              83.24%                                   

(shrhldr's equity / fixed assets)                                               

Liquidation acid test ratio:          35.43%                                   

financial assets/ current                                                       

liabilities                                                                    

 

A. 2007. I. félévi konszolidált "A" eredménykimutatás (IFRS) (06/30/2007 -  1000 HUF) - Warning! The figures stated in the balance sheet may contain error(s).                                                                      

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales                                               

- Net returns from export sales                                                

Net returns from sales             1 142 206                                    

Other revenues                        19 814                                   

- Capitalized value of assets         -5 155                                   

of own production                                                              

- Changes in the stock of            -24 989                                   

inventories compiled from own                                                  

products                                                                       

Capitalized value of own                                                       

performance                                                                    

Depreciation                                                                   

- Material costs                     612 097                                   

- Value of material-type              59 509                                   

services the Company availed                                                   

itself of                                                                       

Value of other deliveries                                                      

- Purchase value of the goods        111 110                                   

sold                                                                            

Value of sold (intermediate)                                                   

services                                                                       

Material--type costs                 782 716                                    

- Wages and salaries                                                           

- Other staff emoluments                                                       

Payment contributions                                                          

Staff costs                           53 861                                   

Depreciation                          66 114                                   

Other expenditures                   108 737                                   

Depreciation                                                                    

TRADING PROFIT/INCOME FROM           160 922                                   

OPERATIONS                                                                     

Interest receivable and similar        9 807                                   

income                                                                         

Given to associated company                                                    

Dividends received and profit             79                                    

sharing                                                                        

Received from associated company                                               

Depreciation of selling the                                                     

interests                                                                      

Received from associated company                                               

Exchange profit and interest of                                                 

the invested liquid assets                                                     

Received from associated company                                               

Other revenues from financial                                                  

transactions                                                                   

Revenues from financial               16 302                                   

transactions                                                                   

Depreciation of the invested                                                   

liquid assets                                                                  

Given to associated company                                                    

Interest paid and interest                                                      

related expenses                                                               

Given to associated company                                                    

Depreciation of interests,                                                      

shares and bank deposits                                                       

Other expenditures on                                                          

financial. transactions                                                         

Expenses on financial                 49 546                                   

transactions                                                                   

PROFIT FROM FINANCIAL                 33 244                                    

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES                                                

Extraordinary incomes                                                          

Extraordinary expenditures                                                     

EXTRAORDINARY PROFITS                                                          

PRE-TAX PROFITS                      129 517                                   

Tax payable                           39 335                                   

AFTER-TAX PROFIT                      90 182                                   

Use of accumulated profit                                                      

reserve for dividends and                                                       

profit sharing                                                                 

Dividend and profit sharing                                                    

approved and paid                                                               

PROFIT AS PER BALANCE-SHEET                                                    

Balance indices                            A                B                 C

Rentability                           11.34%                                    

 

A. 2006. évi konszolidált mérleg (főbb adatok) (12/31/2006 - 1000000 HUF) -  The figures stated in the balance sheet may contain error(s).         

 

B. 2005.évi konsz auditált  (IFRS)mérleg (egyéb forrás) (12/31/2005 - 1000000  HUF) - Warning! The figures stated in the balance sheet may contain error(s).  

 

C. 2004. évi Konszolidált beszámoló MÉRLEG (hivatalos forrás) (12/31/2004 -  1000000 HUF) - Warning! The figures stated in the balance sheet may contain error(s).                                                                       

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 299 682    1   1 344 176   1,2   1 101 385

Intangible assets                     92 598  2,3      40 740   7,5       5 401

- Rights representing assets                                                   

- Goodwill                                                                      

Advanced money given for                                                       

intagible assets                                                               

- Intellectual products                                                         

- Capitalized value of                                                         

experimental development                                                       

- Capitalized value of                                                          

incorporation/reorganization                                                   

- Adjustment of the value of                                                   

intangible assets                                                              

Tangible assets                    1 027 148  0,9   1 112 753   1,2     925 069

- Immovables                                                                   

- Technological equipment,                                                     

machinery and vehicles                                                         

- Other equipment, appliances                                                  

and vehicles                                                                   

animals for breeding                                                            

- Investments                                                                  

- Advance payments made towards                                                

investments                                                                     

 - Adjustment of the value of                                                  

tangible assets                                                                

Financial means invested             131 569                                    

- Business share and                                                           

participations                                                                 

- Securities                                                                    

- Loans granted                                                                

- Long-term bank deposits                                                      

Permanent interest in                                                           

associated company                                                             

Permanent loan given in                                                        

associated company                                                             

Other permanent interest                                                       

Permanent loan given in other                                                  

participating relation                                                         

Other loan given to a longer                                                   

period                                                                         

Security personifying permanent                                                

credit relation                                                                 

- Adjustment of the value of                                                   

liquid assets invested                                                         

Difference from capital                                                         

consolidation                                                                  

-- of the mother and affiliated                                                

companies                                                                       

-- of companies under joint                                                    

management                                                                     

CURRENT ASSETS                       864 963  1,3     684 659   1,3     533 495

Inventories                          181 030  0,7     264 985   1,5     172 450

- Materials                                           264 985                  

- Commodities                                                                  

- Advance payments made towards                                                

inventories                                                                    

- Livestock                                                                    

- Incomplete production and                                                    

semi-finished products                                                         

- Finished products                                                            

Accounts receivable                  229 986  0,9     269 348                  

Receivables on the account of                                                  

disbursements formerly made                                                    

Receivables not involving money                                                 

movements                                                                      

minus: VAT payable but not yet                                                 

indicated in the tax returns                                                    

- Receivables from clients on                                           218 950

account of deliveries                                                          

Receivables from associated                                                     

company                                                                        

Receivables from other                                                         

participating relation                                                         

- Bills receivable                                                             

- Claims against the founders                                                  

- Other receivables                                                            

Tax reclaimable (as estimated)                                                 

as a result of consolidation                                                   

Securities                               666                                   

Interest in associated company                                                  

Other interest                                                                 

- Bonds bought for re-sale                                                     

- Treasury stock, business                                                      

quota and shares bought for resale                                               

Treasury stock, business quotas                                                

- Other securities                                                              

Liquid assets                        399 104  6,2      64 170   0,7      88 126

- Cash at hand and cheques                                                     

- Bank deposits                                                                 

ACCRUED AND DEFERRED ASSETS                                                    

Accrued and deferred assets of                                                 

revenues                                                                       

Accrued and deferred assets of                                                 

expenses, expenditures                                                         

Postponed expenditures                                                         

TOTAL ASSETS                       2 164 645  1,1   2 028 835   1,2   1 634 880

SHAREHOLDERS' EQUITY               1 271 203  1,2   1 053 638   1,3     802 125

-- Initial capital                                                             

-- Change in the capital stock                                                 

Capital subscribed                    83 467  0,9      94 020     1      94 634

own shares redeemed at par value                                               

a capital increase not yet                                                      

registered by the Court of                                                     

Registration                                                                   

a capital decrease not yet                                                      

registered by the Court of                                                     

Registration                                                                   

Capital subscribed but not yet                                                  

paid                                                                           

Capital reserve                                                                

Profit reserve                                                                  

Result as per simplified balance                                               

Locked-up reserve                                                              

Reserve/Provision                    666 716    1     644 340                  

Provision for re-evaluation                                                    

differences                                                                    

-- at the mother and affiliated    1 079 666                                   

companies                                                                       

- Loss carried forward from the                                                

preceding years                                                                

-- at the external members           191 537                                   

Result as per balance-sheet                                                    

-- changes in the equity of the                                                

mother company                                                                  

-- changes in consequence of                                                   

the consolidation                                                              

-- changes arising from the                                                     

difference of debt                                                             

-- changes arising from the                                                    

difference of interim                                                           

.- Participations of external                          70 359                  

members (other owners)                                                         

Profit                                                                         

SPECIFIC RESERVES                                                              

Specific reserves for                 10 507                                   

anticipated losses                                                             

Specific reserves for                112 646    1     108 045                  

anticipated liabilities                                                        

Provisions for the future                                                      

expenses                                                                        

Other provisions                                                               

LIABILITIES                                                                    

Other liabilities                                                               

Long-term liabilities                410 822    1     427 979   1,3     319 716

- Investment and development                                                   

credits                                                                         

- Other long-term credits                                                      

- Long-term loans received                                                     

Convertible securities                                                          

- Debts assumed on the issue of                                                

bonds                                                                          

- Liabilities towards the                                                      

founders                                                                       

Permanent liabilities to                                                       

associated company                                                             

Permanent liabilities to other                                                 

participating relation                                                         

- Other long-term liabilities         56 881                             53 181

Difference of capital                                                           

consolidation arising from the                                                 

affiliated companies                                                           

Short-term liabilities               482 620  0,9     547 216   1,1     513 039

Liabilities from financial                                                     

incomes                                                                        

Liabilities not related to                                                      

money movements                                                                

minus: VAT preliminary imposed                                                 

but not yet indicated in the                                                    

tax returns                                                                    

- Advance payments received                                                    

from customers                                                                 

- Liabilities from deliveries                                           319 630

and services (suppliers)                                                       

- Bills payable                                                                

Short-term liabilities towards                                                 

affiliated companies                                                           

Short-term liabilities towards                                                 

companies in which other                                                        

participations are held                                                        

- Short-term credits                   2 175                             54 384

- Short-term loans                                                              

from this: convertible securities                                               

- Other short-term liabilities                                                 

Estimated tax arrears resulting                                                 

from the consolidation                                                         

-- towards companies under                                                     

joint management                                                                

ACCRUED EXPENSES                                                               

Accrued expenses of revenues                                                   

Accrued expenses of costs,                                                      

expenditures                                                                   

Postponed revenues                                                             

TOTAL LIABILITIES                  2 164 645  1,1   2 028 835   1,2   1 634 880

Balance indices                            A                B                 C

Liquidity 1                           1.7922           1.2512            1.0399

Liquidity 2                           1.4171            .7669             .7037

Rate of sources (Liabilities/                                             0.00%

Shareholders' equity)                                                          

Rate of tangible assets               47.45%           54.85%            56.58%

(Tangible assets/Fixed assets)                                                  

Rate of current assets (Current       39.96%           33.75%            32.63%

assets/Fixed assets)                                                           

Capital (Shareholders' equity/Sources)      58.73%           51.93%            49.06%

Measure of indebtedness                                                   0.00%

(liability / all sources)                                                      

Security of fixed assets              97.81%           78.39%            72.83%

(shrhldr's equity / fixed assets)                                               

Liquidation acid test ratio:          82.70%           11.73%            17.18%

financial assets/ current                                                       

liabilities                                                                    

 

A. 2006. évi konszolidált "A" eredménykimutatás (főbb adatok) (12/31/2006 - 1000000 HUF) -  The figures stated in the balance sheet may contain error(s).                                                                       

 

B. 2005.évi konsz auditált (IFRS) "A" eredményk.(egyéb forrás) (12/31/2005 -  1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                       

C. 2004. évi Konszolidált beszámoló EREDMÉNYKIMUTATÁS összkölts (12/31/2004 -  1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                       

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales                                               

- Net returns from export sales                                                

Net returns from sales             2 998 252  1,2   2 473 614                  

Other revenues                       107 191  5,8      18 450                  

Consolidation difference                                                       

increasing profits and arising                                                 

as a result of debt consolidation                                               

- Capitalized value of assets                         -24 973                  

of own production                                                              

- Changes in the stock of             13 337 -0,2     -55 722   2,9     -18 994

inventories compiled from own                                                   

products                                                                       

Capitalized value of own             -25 432  0,3     -80 695     3     -27 283

performance                                                                     

- Material costs                                                               

- Value of material-type                                                       

services the Company availed                                                    

itself of                                                                      

Value of other deliveries                                                      

- Purchase value of the goods                                                  

sold                                                                           

Value of sold (intermediate)                                                   

services                                                                       

- Value of sub-contractors' performance                                               

Material--type costs               2 092 452  1,2   1 801 177   1,3   1 345 931

- Wages and salaries                                                           

- Other staff emoluments                                                       

- Contribution to the Social                                                   

Security Fund                                                                  

Payment contributions                                                           

Staff costs                          110 190    1     107 874   0,9     123 224

Depreciation                         134 507  1,1     123 500   1,1     108 559

Other costs                          278 385  1,3     217 322                  

Other expenditures                                                             

Depreciation                                                                   

Consolidation difference                                                        

decreasing profits and arising                                                 

as a result of debt consolidation                                               

TRADING PROFIT/INCOME FROM           394 813  1,3     304 436   1,2     248 771

OPERATIONS                                                                     

Interest receivable and similar                                                

income                                                                         

Dividends received and profit                                                  

sharing                                                                        

- Dividends received and profit                                                

sharing from associated companies                                               

Dividends received and profit                                                  

sharing from other                                                             

entrepreneurs in profit sharing                                                

arrangements                                                                   

Depreciation of selling the                                                    

interests                                                                       

Received from associated company                                               

Exchange profit and interest of                                                

the invested liquid assets                                                      

Received from associated company                                               

Other revenues from financial                                                  

transactions                                                                    

Revenues from financial               17 676  2,1       8 434   0,2      36 485

transactions                                                                   

Depreciation of the invested                                                   

liquid assets                                                                  

Given to associated company                                                    

Interest paid and interest                                                     

related expenses                                                               

Write-offs for financial                                                       

investments                                                                    

Depreciation of interests,                                                     

shares and bank deposits                                                       

Other expenditures on                                                          

financial. transactions                                                         

Expenses on financial                 55 294  1,4      40 592   1,3      31 330

transactions                                                                   

PROFIT FROM FINANCIAL                -37 618  1,2     -32 158                  

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES                                                

Extraordinary incomes                                                           

Extraordinary expenditures                                                     

EXTRAORDINARY PROFITS                                                          

PRE-TAX PROFITS                      362 390  1,3     277 157   1,1     261 911

Tax payable                           24 864  0,9      29 158                  

Calculated difference in the                                                   

corporate tax resulting from                                                   

consolidation                                                                  

AFTER-TAX PROFIT                     337 526  1,4     247 999                  

Use of accumulated profit                                                      

reserve for dividends and                                                      

profit sharing                                                                 

Dividend and profit sharing                                                    

approved and paid                                                               

PROFIT AS PER BALANCE-SHEET                                                    

Balance indices                            A                B                 C

Rentability                           12.09%           11.20%                  

Annual change of the net return       21.21%                           -100.00%

of sales                                                                       

 

A. 2006. I. félévi mérleg nem auditált (IFRS) (06/30/2006 - 1000000 HUF) -  The figures stated in the balance sheet may contain error(s).         

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 256 381                                   

Intangible assets                     39 135                                   

- Adjustment of the value of                                                   

intangible assets                                                               

Tangible assets                    1 010 417                                   

 - Adjustment of the value of                                                  

tangible assets                                                                 

Financial means invested             149 959                                   

- Adjustment of the value of                                                   

liquid assets invested                                                          

CURRENT ASSETS                       867 497                                   

Inventories                          228 489                                   

Accounts receivable                                                             

Securities                                                                     

Liquid assets                                                                  

ACCRUED AND DEFERRED ASSETS                                                     

TOTAL ASSETS                       2 123 878                                   

SHAREHOLDERS' EQUITY               1 149 220                                   

Capital subscribed                    83 122                                   

own shares redeemed at par value                                               

a capital increase not yet                                                     

registered by the Court of                                                     

Registration                                                                    

a capital decrease not yet                                                     

registered by the Court of                                                     

Registration                                                                    

Capital subscribed but not yet                                                 

paid                                                                           

Capital reserve                      693 374                                   

Profit reserve                                                                 

Provision for re-evaluation                                                    

differences                                                                     

Result as per balance-sheet                                                    

SPECIFIC RESERVES                                                              

LIABILITIES                          793 287                                    

Other liabilities                                                              

Long-term liabilities                249 135                                   

Short-term liabilities               544 152                                   

ACCRUED EXPENSES                                                               

TOTAL LIABILITIES                  2 123 878                                   

Balance indices                            A                B                 C

Liquidity 1                           1.5942                                   

Liquidity 2                           1.1743                                   

Rate of sources (Liabilities/         69.03%                                   

Shareholders' equity)                                                           

Rate of tangible assets               47.57%                                   

(Tangible assets/Fixed assets)                                                 

Rate of current assets (Current       40.84%                                   

assets/Fixed assets)                                                           

Capital (Shareholders' equity/Sources)      54.11%                                   

Measure of indebtedness               37.35%                                    

(liability / all sources)                                                      

Security of fixed assets              91.47%                                   

(shrhldr's equity / fixed assets)                                                

 

A. 2006. I. félévi eredménykimutatás nem auditált (IFRS) (06/30/2006 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).  

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales                                               

- Net returns from export sales                                                

Net returns from sales             1 500 838                                   

Other revenues                        89 975                                   

Capitalized value of own                                                       

performance                                                                     

Material--type costs               1 114 521                                   

Staff costs                           53 753                                   

Depreciation                          64 488                                   

Other costs                                                                    

Other expenditures                   128 817                                   

Depreciation                                                                    

TRADING PROFIT/INCOME FROM           257 493                                   

OPERATIONS                                                                     

Revenues from financial                4 998                                    

transactions                                                                   

Expenses on financial                 44 721                                   

transactions                                                                    

PROFIT FROM FINANCIAL                -39 723                                   

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES                                                

Extraordinary incomes                                                          

Extraordinary expenditures                                                     

EXTRAORDINARY PROFITS                                                          

PRE-TAX PROFITS                      222 388                                   

Tax payable                           36 639                                   

AFTER-TAX PROFIT                     185 749                                   

PROFIT AS PER BALANCE-SHEET                                                     

Balance indices                            A                B                 C

Rentability                           14.82%                                   

 

A. 2006.I.n.év konsz. nem auditált (IFRS)eredményk. (egyéb for (03/31/2006 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                      

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales                                               

- Net returns from export sales                                                

Net returns from sales                                                         

Other revenues                                                                 

- Capitalized value of assets         -5 610                                   

of own production                                                               

- Changes in the stock of            -37 287                                   

inventories compiled from own                                                  

products                                                                        

Capitalized value of own                                                       

performance                                                                    

Depreciation                                                                    

- Material costs                     331 849                                   

- Value of material-type              25 044                                   

services the Company availed                                                    

itself of                                                                      

Value of other deliveries                                                      

- Purchase value of the goods        288 964                                    

sold                                                                           

Value of sold (intermediate)                                                   

services                                                                       

Material--type costs                 645 857                                   

- Wages and salaries                                                           

- Other staff emoluments              26 605                                   

Payment contributions                                                          

Staff costs                                                                    

Depreciation                          31 627                                   

Other expenditures                    66 611                                   

Depreciation                                                                   

TRADING PROFIT/INCOME FROM           155 167                                   

OPERATIONS                                                                      

Interest receivable and similar        1 679                                   

income                                                                         

Given to associated company                                                     

Dividends received and profit                                                  

sharing                                                                        

Received from associated company                                                

Depreciation of selling the                                                    

interests                                                                      

Received from associated company                                               

Exchange profit and interest of                                                

the invested liquid assets                                                     

Received from associated company                                               

Other revenues from financial                                                  

transactions                                                                   

Revenues from financial                1 800                                   

transactions                                                                    

Depreciation of the invested                                                   

liquid assets                                                                  

Given to associated company                                                     

Interest paid and interest             5 108                                   

related expenses                                                               

Given to associated company                                                     

Depreciation of interests,                                                     

shares and bank deposits                                                       

Other expenditures on                                                           

financial. transactions                                                        

Expenses on financial                 28 314                                   

transactions                                                                    

PROFIT FROM FINANCIAL                 26 514                                   

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES                                                

Extraordinary incomes                                                          

Extraordinary expenditures                                                     

EXTRAORDINARY PROFITS                                                          

PRE-TAX PROFITS                      129 882                                   

Tax payable                           19 828                                   

AFTER-TAX PROFIT                                                               

Use of accumulated profit                                                       

reserve for dividends and                                                      

profit sharing                                                                 

Dividend and profit sharing                                                     

approved and paid                                                              

 

PROFIT AS PER BALANCE-SHEET                                                    

 

A. 2006.I.n.év konsz nem auditált (IFRS) mérleg (egyéb forrás) (03/31/2006 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                      

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                                                                

Intangible assets                     39 087                                   

- Rights representing assets                                                   

- Goodwill                                                                     

Advanced money given for                                                       

intagible assets                                                                

- Intellectual products                                                        

- Capitalized value of                                                         

experimental development                                                        

- Capitalized value of                                                         

incorporation/reorganization                                                   

- Adjustment of the value of                                                    

intangible assets                                                              

Tangible assets                      999 347                                   

- Immovables                                                                    

- Technological equipment,                                                     

machinery and vehicles                                                         

- Other equipment, appliances                                                  

and vehicles                                                                   

animals for breeding                                                           

- Investments                                                                  

- Advance payments made towards                                                

investments                                                                    

 - Adjustment of the value of                                                  

tangible assets                                                                 

Financial means invested             135 615                                   

Permanent interest in                                                          

associated company                                                              

Permanent loan given in                                                        

associated company                                                             

Other permanent interest                                                        

Permanent loan given in other                                                  

participating relation                                                         

Other loan given to a longer                                                    

period                                                                         

Security personifying permanent                                                

credit relation                                                                

- Adjustment of the value of                                                   

liquid assets invested                                                         

CURRENT ASSETS                       990 231                                   

Inventories                          252 285                                   

- Materials                                                                    

- Commodities                                                                  

- Advance payments made towards                                                

inventories                                                                    

- Livestock                                                                    

- Incomplete production and                                                     

semi-finished products                                                         

- Finished products                                                            

Accounts receivable                  256 370                                    

- Receivables from clients on                                                  

account of deliveries                                                          

Receivables from associated                                                     

company                                                                        

Receivables from other                                                         

participating relation                                                         

- Bills receivable                                                             

- Other receivables                                                            

Securities                               518                                   

Interest in associated company                                                 

Other interest                                                                 

Securities personifying                                                        

circulational credit relation aim                                               

Treasury stock, business quotas                                                

Liquid assets                        396 934                                   

- Cash at hand and cheques                                                      

- Bank deposits                                                                

ACCRUED AND DEFERRED ASSETS                                                    

Accrued and deferred assets of                                                  

revenues                                                                       

Accrued and deferred assets of                                                 

expenses, expenditures                                                          

Postponed expenditures                                                         

TOTAL ASSETS                                                                   

SHAREHOLDERS' EQUITY               1 317 316                                    

Capital subscribed                    94 020                                   

own shares redeemed at par value                                               

Capital subscribed but not yet                                                 

paid                                                                            

Capital reserve                                                                

Profit reserve                                                                 

Locked-up reserve                                                               

Reserve/Provision                    921 565                                   

Provision for re-evaluation                                                    

differences                                                                     

Result as per balance-sheet                                                    

SPECIFIC RESERVES                                                              

Specific reserves for                                                           

anticipated liabilities                                                        

Provisions for the future                                                      

expenses                                                                        

Other provisions                                                               

LIABILITIES                                                                    

Other liabilities                                                               

Long-term liabilities                405 701                                   

- Investment and development                                                   

credits                                                                        

- Other long-term credits                                                      

- Long-term loans received                                                     

Convertible securities                                                         

- Debts assumed on the issue of                                                

bonds                                                                          

Permanent liabilities to                                                       

associated company                                                              

Permanent liabilities to other                                                 

participating relation                                                         

- Other long-term liabilities                                                   

Short-term liabilities               492 494                                   

- Advance payments received                                                    

from customers                                                                  

- Liabilities from deliveries                                                  

and services (suppliers)                                                       

- Bills payable                                                                 

Short-term liabilities towards                                                 

affiliated companies                                                           

Short-term liabilities towards                                                 

companies in which other                                                       

participations are held                                                        

- Short-term credits                                                           

- Short-term loans                                                             

from this: convertible securities                                               

- Other short-term liabilities                                                 

ACCRUED EXPENSES                                                                

Accrued expenses of revenues                                                   

Accrued expenses of costs,                                                     

expenditures                                                                    

Postponed revenues                                                             

TOTAL LIABILITIES                  2 215 511                                   

Balance indices                            A                B                 C

Liquidity 1                           2.0106                                   

Liquidity 2                           1.4984                                   

Capital (Shareholders' equity/Sources)      59.46%                                    

Liquidation acid test ratio:          80.60%                                   

financial assets/ current                                                      

liabilities                                                                     

 

A. 2005. évi mérleg (hivatalos forrás) (12/31/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                  

 

B. 2004. évi Éves beszámoló MÉRLEG "A" változat Eszközök + Forr (12/31/2004 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                      

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 108 774  1,2     888 863                  

Intangible assets                     15 621  2,2       7 193                  

- Rights representing assets           1 359  6,1         223                  

- Goodwill                             5 008                                   

Advanced money given for                                                       

intagible assets                                                                

- Intellectual products                9 053  1,3       6 778                  

- Capitalized value of                   201    1         192                  

experimental development                                                       

- Capitalized value of                                                         

incorporation/reorganization                                                   

- Adjustment of the value of                                                   

intangible assets                                                              

Tangible assets                      354 491  1,2     292 842                  

- Immovables                         220 811  1,3     165 643                  

- Technological equipment,           101 019  1,1      92 348                  

machinery and vehicles                                                         

- Other equipment, appliances          8 425    1       8 307                  

and vehicles                                                                    

animals for breeding                                                           

- Investments                         23 837  0,9      25 209                  

- Advance payments made towards          399  0,3       1 335                  

investments                                                                    

 - Adjustment of the value of                                                  

tangible assets                                                                 

Financial means invested             738 662  1,3     588 828                  

Permanent interest in                544 843  1,1     515 778                  

associated company                                                             

Permanent loan given in              193 538  2,7      72 588                  

associated company                                                             

Other permanent interest                   1    1           1                  

Permanent loan given in other                                                  

participating relation                                                         

Other loan given to a longer             280  0,6         461                  

period                                                                          

Security personifying permanent                                                

credit relation                                                                

- Adjustment of the value of                                                    

liquid assets invested                                                         

CURRENT ASSETS                       827 784  1,6     522 553                  

Inventories                          112 867  1,8      63 368                  

- Materials                           36 388  1,8      20 791                  

- Commodities                          6 649  1,1       5 970                  

- Advance payments made towards                                                 

inventories                                                                    

- Livestock                                                                    

- Incomplete production and           39 334  2,4      16 196                   

semi-finished products                                                         

- Finished products                   30 496  1,5      20 411                  

Accounts receivable                  492 349  1,4     364 112                  

- Receivables from clients on         69 372  1,2      55 918                  

account of deliveries                                                          

Receivables from associated          315 841    1     301 050                  

company                                                                         

Receivables from other                 3 208  3,3         966                  

participating relation                                                         

- Bills receivable                                                              

- Other receivables                  103 761 16,9       6 137                  

Securities                           211 441  2,5      84 378                  

Interest in associated company        62 774  1,3      50 212                  

Other interest                           360                                   

Securities personifying                1 920  1,2       1 560                  

circulational credit relation aim                                                

Treasury stock, business quotas      146 387  4,5      32 606                  

Liquid assets                         11 127    1      10 695                  

- Cash at hand and cheques             1 560  1,6         973                   

- Bank deposits                        9 567    1       9 722                  

ACCRUED AND DEFERRED ASSETS           28 788  1,7      17 080                  

Accrued and deferred assets of         2 172  0,2       9 454                  

revenues                                                                       

Accrued and deferred assets of        26 616  5,4       4 906                  

expenses, expenditures                                                         

Postponed expenditures                                  2 720                  

TOTAL ASSETS                       1 965 346  1,4   1 428 496                  

SHAREHOLDERS' EQUITY               1 219 389  1,4     855 746                  

Capital subscribed                   108 985    1     108 619                  

own shares redeemed at par value       7 412  1,4       5 338                  

Capital subscribed but not yet                                                 

paid                                                                            

Capital reserve                      219 164  1,3     174 288                  

Profit reserve                       332 097  0,9     366 760                  

Locked-up reserve                    195 336  2,3      86 039                  

Provision for re-evaluation                               -44                  

differences                                                                    

Result as per balance-sheet          363 807    3     120 084                   

SPECIFIC RESERVES                    105 695  1,4      74 572                  

Specific reserves for                105 695  1,5      72 765                  

anticipated liabilities                                                        

Provisions for the future                                                      

expenses                                                                       

Other provisions                                        1 807                  

LIABILITIES                          623 393  1,3     481 964                  

Other liabilities                                                              

Long-term liabilities                329 774  1,7     197 572                  

- Investment and development          88 759  0,5     187 679                  

credits                                                                        

- Other long-term credits                                                      

- Long-term loans received                                                      

Convertible securities                 7 740  0,8       9 800                  

- Debts assumed on the issue of      189 548                                   

bonds                                                                           

Permanent liabilities to              43 677 7279,5           6                  

associated company                                                             

Permanent liabilities to other                                                  

participating relation                                                         

- Other long-term liabilities             50  0,6          87                  

Short-term liabilities               293 619    1     284 392                  

- Advance payments received              786  1,1         741                  

from customers                                                                 

- Liabilities from deliveries         93 041  1,5      62 125                  

and services (suppliers)                                                       

- Bills payable                                                                

Short-term liabilities towards        39 244  1,5      25 905                  

affiliated companies                                                            

Short-term liabilities towards            27  0,2         119                  

companies in which other                                                       

participations are held                                                         

- Short-term credits                  86 855  0,7     128 206                  

- Short-term loans                                     15 000                  

from this: convertible securities                                                

- Other short-term liabilities        73 666  1,5      49 190                  

ACCRUED EXPENSES                      16 869    1      16 214                  

Accrued expenses of revenues              29  0,3          92                   

Accrued expenses of costs,             9 188    1       8 913                  

expenditures                                                                   

Postponed revenues                     7 652  1,1       7 209                   

TOTAL LIABILITIES                  1 965 346  1,4   1 428 496                  

Balance indices                            A                B                 C

Liquidity 1                           2.8192           1.8374                  

Liquidity 2                           2.4348           1.6146                  

Rate of sources (Liabilities/         51.12%           56.32%                  

Shareholders' equity)                                                          

Rate of tangible assets               18.04%           20.50%                  

(Tangible assets/Fixed assets)                                                 

Rate of current assets (Current       42.12%           36.58%                  

assets/Fixed assets)                                                            

Capital (Shareholders' equity/Sources)      62.04%           59.91%                  

Measure of indebtedness               31.72%           33.74%                  

(liability / all sources)                                                       

Security of fixed assets             109.98%           96.27%                  

(shrhldr's equity / fixed assets)                                               

Liquidation acid test ratio:           3.79%            3.76%                  

financial assets/ current                                                      

liabilities                                                                    

 

A. 2005. évi "A" eredménykimutatás (hivatalos forrás) (12/31/2005 - 1000000 HUF)                                             

                             

B. 2004. évi Éves beszámoló Összköltség eljárással készített er (12/31/2004 -  1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                       

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales   1 162 806  1,2     969 430                  

- Net returns from export sales      308 866  1,5     202 375                  

Net returns from sales             1 471 672  1,3   1 171 805                  

Other revenues                        36 920  1,8      20 469                  

- Capitalized value of assets          5 182  0,8       6 368                  

of own production                                                              

- Changes in the stock of             33 223  3,4       9 711                  

inventories compiled from own                                                  

products                                                                       

Capitalized value of own              38 405  2,4      16 079                   

performance                                                                    

Depreciation                                                                   

- Material costs                     593 626  1,6     370 423                  

- Value of material-type              95 383    1      96 120                  

services the Company availed                                                   

itself of                                                                      

Value of other deliveries            186 803    1     179 911                  

- Purchase value of the goods        130 228  1,1     118 711                  

sold                                                                           

Value of sold (intermediate)           2 439  1,2       2 014                  

services                                                                       

Material--type costs               1 008 479  1,3     767 179                  

- Wages and salaries                  30 788  0,9      32 453                  

- Other staff emoluments              21 600  3,1       7 007                  

Payment contributions                 15 247  1,2      12 425                  

Staff costs                           67 635  1,3      51 885                  

Depreciation                          46 005    1      44 252                  

Other expenditures                   265 085  1,1     251 534                  

Depreciation                           5 571  4,5       1 232                   

TRADING PROFIT/INCOME FROM           159 793  1,7      93 503                  

OPERATIONS                                                                     

Dividends received and profit         55 780  2,5      22 241                   

sharing                                                                        

Received from associated company      55 780  2,5      22 185                  

Exchange profit and interest of        2 719  1,6       1 699                  

the invested liquid assets                                                     

Received from associated company       2 702  1,6       1 679                  

Other revenues from financial        213 464  8,5      25 007                  

transactions                                                                    

Revenues from financial              295 420  3,6      81 346                  

transactions                                                                   

Depreciation of the invested                                                    

liquid assets                                                                  

Given to associated company                                                    

Interest paid and interest            11 934  0,9      13 575                  

related expenses                                                               

Given to associated company            1 835  0,9       2 041                  

Depreciation of interests,             4 365  1,2       3 659                  

shares and bank deposits                                                       

Other expenditures on                 40 425  2,9      13 726                  

financial. transactions                                                         

Expenses on financial                 56 724  1,8      30 960                  

transactions                                                                   

PROFIT FROM FINANCIAL                238 696  4,7      50 386                  

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES      398 489  2,8     143 889                  

Extraordinary incomes                    785  3,8         209                  

Extraordinary expenditures               467  0,7         628                  

EXTRAORDINARY PROFITS                    318 -0,8        -419                  

PRE-TAX PROFITS                      398 807  2,8     143 470                  

Tax payable                                             6 388                  

AFTER-TAX PROFIT                     398 807  2,9     137 082                  

Use of accumulated profit                                                      

reserve for dividends and                                                       

profit sharing                                                                 

Dividend and profit sharing           35 000  2,1      16 998                  

approved and paid                                                               

PROFIT AS PER BALANCE-SHEET          363 807    3     120 084                  

Balance indices                            A                B                 C

Rentability                           27.10%           12.24%                   

Annual change of the net return       25.59%          -99.84%                  

of sales                                                                       

 

A. 2005.09.30.konsz nem auditált mérleg (egyéb forrás) (09/30/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s). 

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 233 870                                   

Intangible assets                     33 810                                   

- Rights representing assets                                                   

- Goodwill                                                                      

- Intellectual products                                                        

- Capitalized value of                                                         

experimental development                                                        

- Capitalized value of                                                         

incorporation/reorganization                                                   

- Adjustment of the value of                                                    

intangible assets                                                              

Tangible assets                    1 024 509                                   

- Immovables                                                                    

- Technological equipment,                                                     

machinery and vehicles                                                         

- Other equipment, appliances                                                  

and vehicles                                                                   

- Investments                                                                  

- Advance payments made towards                                                

investments                                                                     

 - Adjustment of the value of                                                  

tangible assets                                                                

Financial means invested             124 127                                   

- Business share and                                                           

participations                                                                 

- Securities                                                                    

- Loans granted                                                                

- Long-term bank deposits                                                      

- Adjustment of the value of                                                    

liquid assets invested                                                         

Difference from capital                                                        

consolidation                                                                   

-- of the mother and affiliated                                                

companies                                                                      

-- of companies under joint                                                    

management                                                                     

CURRENT ASSETS                       683 959                                   

Inventories                          304 161                                   

- Materials                                                                     

- Commodities                                                                  

- Advance payments made towards                                                

inventories                                                                     

- Livestock                                                                    

- Incomplete production and                                                    

semi-finished products                                                          

- Finished products                                                            

Accounts receivable                  223 860                                   

Receivables on the account of                                                   

disbursements formerly made                                                    

Receivables not involving money                                                

movements                                                                       

minus: VAT payable but not yet                                                 

indicated in the tax returns                                                   

- Receivables from clients on                                                  

account of deliveries                                                          

- Bills receivable                                                             

- Claims against the founders                                                  

- Other receivables                                                            

Securities                               364                                   

- Bonds bought for re-sale                                                     

- Treasury stock, business                                                      

quota and shares bought for resale                                               

- Other securities                                                             

Liquid assets                         81 251                                   

- Cash at hand and cheques                                                     

- Bank deposits                                                                

ACCRUED AND DEFERRED ASSETS                                                     

TOTAL ASSETS                       1 917 829                                   

SHAREHOLDERS' EQUITY                 996 076                                   

-- Initial capital                                                              

-- Change in the capital stock                                                 

Capital subscribed                    94 009                                   

own shares redeemed at par value                                               

a capital increase not yet                                                     

registered by the Court of                                                     

Registration                                                                   

a capital decrease not yet                                                     

registered by the Court of                                                     

Registration                                                                   

Capital subscribed but not yet                                                 

paid                                                                           

Capital reserve                                                                

Profit reserve                                                                  

Result as per simplified balance                                               

Reserve/Provision                    642 470                                   

Provision for re-evaluation                                                     

differences                                                                    

-- at the mother and affiliated                                                

companies                                                                       

- Loss carried forward from the                                                

preceding years                                                                

-- at the external members                                                      

Result as per balance-sheet          190 638                                   

-- changes in the equity of the                                                

mother company                                                                 

-- changes in consequence of                                                   

the consolidation                                                              

-- changes arising from the                                                    

difference of debt                                                              

-- changes arising from the                                                    

difference of interim                                                          

.- Participations of external                                                   

members (other owners)                                                         

Profit                                                                         

SPECIFIC RESERVES                                                               

Specific reserves for                                                          

anticipated losses                                                             

Specific reserves for                                                           

anticipated liabilities                                                        

Other provisions                                                               

LIABILITIES                                                                     

Long-term liabilities                286 172                                   

- Investment and development                                                   

credits                                                                        

- Other long-term credits                                                      

- Long-term loans received                                                     

- Debts assumed on the issue of                                                

bonds                                                                           

- Liabilities towards the                                                      

founders                                                                       

- Other long-term liabilities                                                   

Difference of capital                                                          

consolidation arising from the                                                 

affiliated companies                                                            

Short-term liabilities               635 581                                   

Liabilities from financial                                                     

incomes                                                                         

Liabilities not related to                                                     

money movements                                                                

minus: VAT preliminary imposed                                                  

but not yet indicated in the                                                   

tax returns                                                                    

- Advance payments received                                                    

from customers                                                                 

- Liabilities from deliveries                                                  

and services (suppliers)                                                       

- Bills payable                                                                 

- Short-term credits                                                           

- Short-term loans                                                             

- Other short-term liabilities                                                 

-- towards companies under                                                     

joint management                                                               

ACCRUED EXPENSES                                                                

TOTAL LIABILITIES                  1 917 829                                   

Balance indices                            A                B                 C

Liquidity 1                           1.0761                                    

Liquidity 2                            .5976                                   

Rate of tangible assets               53.42%                                   

(Tangible assets/Fixed assets)                                                  

Rate of current assets (Current       35.66%                                   

assets/Fixed assets)                                                           

Capital (Shareholders' equity/Sources)      51.94%                                    

Security of fixed assets              80.73%                                   

(shrhldr's equity / fixed assets)                                               

Liquidation acid test ratio:          12.78%                                   

financial assets/ current                                                      

liabilities                                                                    

 

A. 2005.09.30.konsz.nem auditált "A" eredményk.IFRS (egyéb forr (09/30/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                      

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales                                               

- Net returns from export sales                                                

Net returns from sales             1 702 042                                    

Other revenues                        13 200                                   

Consolidation difference                                                       

increasing profits and arising                                                  

as a result of debt consolidation                                               

- Capitalized value of assets        -22 619                                   

of own production                                                              

- Changes in the stock of            -66 729                                   

inventories compiled from own                                                  

products                                                                       

Capitalized value of own             -89 348                                   

performance                                                                    

- Material costs                     744 558                                   

- Value of material-type              85 541                                   

services the Company availed                                                   

itself of                                                                      

- Purchase value of the goods        418 293                                   

sold                                                                           

- Value of sub-contractors' performance                                               

Material--type costs               1 248 392                                    

- Wages and salaries                                                           

- Other staff emoluments                                                       

- Contribution to the Social                                                    

Security Fund                                                                  

Staff costs                           81 764                                   

Depreciation                          82 584                                    

Other costs                          154 083                                   

Other expenditures                                                             

Consolidation difference                                                       

decreasing profits and arising                                                 

as a result of debt consolidation                                               

TRADING PROFIT/INCOME FROM           237 767                                   

OPERATIONS                                                                      

Interest receivable and similar        2 304                                   

income                                                                         

- Dividends received and profit           25                                   

sharing from associated companies                                               

Dividends received and profit                                                  

sharing from other                                                              

entrepreneurs in profit sharing                                                

arrangements                                                                   

Other revenues from financial          2 530                                    

transactions                                                                   

Revenues from financial                4 859                                   

transactions                                                                    

Interest paid and interest             9 283                                   

related expenses                                                               

Write-offs for financial                 -18                                   

investments                                                                    

Other expenditures on                 14 722                                   

financial. transactions                                                        

Expenses on financial                 27 661                                   

transactions                                                                   

PROFIT FROM FINANCIAL                 22 802                                   

TRANSACTIONS                                                                    

PROFIT FROM ORDINARY ACTIVITIES       -3 804                                   

Extraordinary incomes                                                          

Extraordinary expenditures                                                      

EXTRAORDINARY PROFITS                                                          

PRE-TAX PROFITS                      218 769                                   

Tax payable                           26 249                                    

Calculated difference in the                                                   

corporate tax resulting from                                                   

consolidation                                                                   

AFTER-TAX PROFIT                     192 520                                   

Dividend and profit sharing                                                    

approved and paid                                                              

PROFIT AS PER BALANCE-SHEET          190 638                                   

Balance indices                            A                B                 C

Rentability                           12.85%                                   

 

A. 2005.06.30.konsz .nem auditált mérleg (IFRSszereint) (06/30/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).  

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 180 257                                   

Intangible assets                     33 173                                   

- Rights representing assets                                                    

- Goodwill                                                                     

- Intellectual products                                                        

- Capitalized value of                                                          

experimental development                                                       

- Capitalized value of                                                         

incorporation/reorganization                                                    

- Adjustment of the value of                                                   

intangible assets                                                              

Tangible assets                      974 241                                   

- Immovables                                                                   

- Technological equipment,                                                     

machinery and vehicles                                                         

- Other equipment, appliances                                                  

and vehicles                                                                   

- Investments                                                                  

- Advance payments made towards                                                 

investments                                                                    

 - Adjustment of the value of                                                  

tangible assets                                                                 

Financial means invested             123 382                                   

- Business share and                                                           

participations                                                                  

- Securities                                                                   

- Loans granted                                                                

- Long-term bank deposits                                                       

- Adjustment of the value of                                                   

liquid assets invested                                                         

Difference from capital                                                        

consolidation                                                                  

-- of the mother and affiliated                                                

companies                                                                      

-- of companies under joint                                                    

management                                                                     

CURRENT ASSETS                       523 700                                   

Inventories                          204 648                                   

- Materials                                                                    

- Commodities                                                                  

- Advance payments made towards                                                 

inventories                                                                    

- Livestock                                                                    

- Incomplete production and                                                     

semi-finished products                                                         

- Finished products                                                            

Accounts receivable                  203 448                                    

Receivables on the account of                                                  

disbursements formerly made                                                    

Receivables not involving money                                                

movements                                                                      

minus: VAT payable but not yet                                                 

indicated in the tax returns                                                   

- Receivables from clients on                                                  

account of deliveries                                                          

- Bills receivable                                                             

- Claims against the founders                                                  

- Other receivables                                                            

Securities                               361                                   

- Bonds bought for re-sale                                                      

- Treasury stock, business                                                     

quota and shares bought for resale                                               

- Other securities                                                              

Liquid assets                         56 780                                   

- Cash at hand and cheques                                                     

- Bank deposits                                                                 

ACCRUED AND DEFERRED ASSETS                                                    

TOTAL ASSETS                       1 703 957                                   

SHAREHOLDERS' EQUITY                 940 886                                    

-- Initial capital                                                             

-- Change in the capital stock                                                 

Capital subscribed                    93 315                                   

own shares redeemed at par value                                               

a capital increase not yet                                                     

registered by the Court of                                                     

Registration                                                                    

a capital decrease not yet                                                     

registered by the Court of                                                     

Registration                                                                    

Capital subscribed but not yet                                                 

paid                                                                           

Capital reserve                      640 371                                    

Profit reserve                                                                 

Result as per simplified balance                                               

Reserve/Provision                                                               

Provision for re-evaluation                                                    

differences                                                                    

-- at the mother and affiliated                                                 

companies                                                                      

- Loss carried forward from the                                                

preceding years                                                                

-- at the external members                                                     

Result as per balance-sheet          133 916                                   

-- changes in the equity of the                                                

mother company                                                                  

-- changes in consequence of                                                   

the consolidation                                                              

-- changes arising from the                                                     

difference of debt                                                             

-- changes arising from the                                                    

difference of interim                                                           

.- Participations of external                                                  

members (other owners)                                                         

Profit                                                                          

SPECIFIC RESERVES                                                              

Specific reserves for                                                          

anticipated losses                                                              

Specific reserves for                                                          

anticipated liabilities                                                        

Other provisions                                                               

LIABILITIES                          763 071                                   

Long-term liabilities                325 937                                   

- Investment and development                                                   

credits                                                                         

- Other long-term credits                                                      

- Long-term loans received                                                     

- Debts assumed on the issue of                                                

bonds                                                                          

- Liabilities towards the                                                      

founders                                                                        

- Other long-term liabilities                                                  

Difference of capital                                                          

consolidation arising from the                                                  

affiliated companies                                                           

Short-term liabilities               437 134                                   

Liabilities from financial                                                      

incomes                                                                        

Liabilities not related to                                                     

money movements                                                                

minus: VAT preliminary imposed                                                 

but not yet indicated in the                                                   

tax returns                                                                    

- Advance payments received                                                    

from customers                                                                 

- Liabilities from deliveries                                                  

and services (suppliers)                                                        

- Bills payable                                                                

- Short-term credits                                                           

- Short-term loans                                                              

- Other short-term liabilities                                                 

-- towards companies under                                                     

joint management                                                                

ACCRUED EXPENSES                                                               

TOTAL LIABILITIES                  1 703 957                                   

Balance indices                            A                B                 C

Liquidity 1                           1.1980                                   

Liquidity 2                            .7299                                   

Rate of sources (Liabilities/         81.10%                                    

Shareholders' equity)                                                          

Rate of tangible assets               57.18%                                   

(Tangible assets/Fixed assets)                                                 

Rate of current assets (Current       30.73%                                   

assets/Fixed assets)                                                           

Capital (Shareholders' equity/Sources)      55.22%                                   

Measure of indebtedness               44.78%                                   

(liability / all sources)                                                      

Security of fixed assets              79.72%                                   

(shrhldr's equity / fixed assets)                                               

Liquidation acid test ratio:          12.99%                                   

financial assets/ current                                                      

liabilities                                                                     

 

A. 2005.06.30.konsz nem auditált "A" eredményk. (IFRSszerint) (06/30/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                                                                       

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales                                               

- Net returns from export sales                                                

Net returns from sales             1 116 283                                   

Other revenues                         9 520                                   

Consolidation difference                                                       

increasing profits and arising                                                 

as a result of debt consolidation                                               

- Capitalized value of assets         -8 955                                   

of own production                                                              

- Changes in the stock of            -39 039                                   

inventories compiled from own                                                   

products                                                                       

Capitalized value of own             -47 994                                   

performance                                                                     

- Material costs                     438 189                                   

- Value of material-type              56 701                                   

services the Company availed                                                    

itself of                                                                      

- Purchase value of the goods        306 382                                   

sold                                                                            

- Value of sub-contractors' performance                                               

Material--type costs                 801 272                                   

- Wages and salaries                                                           

- Other staff emoluments                                                       

- Contribution to the Social                                                   

Security Fund                                                                  

Staff costs                           53 020                                   

Depreciation                          56 083                                   

Other costs                                                                    

Other expenditures                    95 798                                   

Consolidation difference                                                       

decreasing profits and arising                                                 

as a result of debt consolidation                                                

TRADING PROFIT/INCOME FROM           167 624                                   

OPERATIONS                                                                     

Interest receivable and similar        1 681                                    

income                                                                         

- Dividends received and profit                                                

sharing from associated companies                                                

Dividends received and profit              5                                   

sharing from other                                                             

entrepreneurs in profit sharing                                                

arrangements                                                                   

Other revenues from financial          1 935                                   

transactions                                                                   

Revenues from financial                3 621                                   

transactions                                                                   

Interest paid and interest             6 093                                   

related expenses                                                                

Write-offs for financial                  18                                   

investments                                                                    

Other expenditures on                                                           

financial. transactions                                                        

Expenses on financial                 18 429                                   

transactions                                                                    

PROFIT FROM FINANCIAL                -14 808                                   

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES                                                 

Extraordinary incomes                                                          

Extraordinary expenditures                                                     

EXTRAORDINARY PROFITS                                                           

PRE-TAX PROFITS                      154 369                                   

Tax payable                           16 740                                   

Calculated difference in the                                                   

corporate tax resulting from                                                   

consolidation                                                                  

AFTER-TAX PROFIT                     137 629                                   

Dividend and profit sharing            3 713                                   

approved and paid                                                              

PROFIT AS PER BALANCE-SHEET          133 916                                   

Balance indices                            A                B                 C

Rentability                           13.83%                                   

 

A. 2005.03.31.konsz.nem auditált mérleg  (03/31/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).                  

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

ASSETS INVESTED                    1 147 960                                    

Intangible assets                     28 837                                   

- Rights representing assets                                                   

- Goodwill                                                                     

- Intellectual products                                                        

- Capitalized value of                                                         

experimental development                                                       

- Capitalized value of                                                         

incorporation/reorganization                                                   

- Adjustment of the value of                                                   

intangible assets                                                               

Tangible assets                      927 263                                   

- Immovables                                                                   

- Technological equipment,                                                      

machinery and vehicles                                                         

- Other equipment, appliances                                                  

and vehicles                                                                    

- Investments                                                                  

- Advance payments made towards                                                

investments                                                                     

 - Adjustment of the value of                                                  

tangible assets                                                                

Financial means invested             142 471                                   

- Business share and                                                           

participations                                                                 

- Securities                                                                   

- Loans granted                                                                

- Long-term bank deposits                                                      

- Adjustment of the value of                                                   

liquid assets invested                                                          

Difference from capital                                                        

consolidation                                                                  

-- of the mother and affiliated                                                 

companies                                                                      

-- of companies under joint                                                    

management                                                                      

CURRENT ASSETS                       501 523                                   

Inventories                          174 706                                   

- Materials                                                                     

- Commodities                                                                  

- Advance payments made towards                                                

inventories                                                                     

- Livestock                                                                    

- Incomplete production and                                                    

semi-finished products                                                         

- Finished products                                                            

Accounts receivable                  214 345                                   

Receivables on the account of                                                  

disbursements formerly made                                                    

Receivables not involving money                                                

movements                                                                      

minus: VAT payable but not yet                                                  

indicated in the tax returns                                                   

- Receivables from clients on                                                  

account of deliveries                                                           

- Bills receivable                                                             

- Claims against the founders                                                  

- Other receivables                                                             

Securities                               680                                   

- Bonds bought for re-sale                                                     

- Treasury stock, business                                                      

quota and shares bought for resale                                               

- Other securities                                                             

Liquid assets                         56 419                                   

- Cash at hand and cheques                                                     

- Bank deposits                                                                

ACCRUED AND DEFERRED ASSETS                                                    

TOTAL ASSETS                       1 649 483                                   

SHAREHOLDERS' EQUITY                 908 418                                   

-- Initial capital                                                             

-- Change in the capital stock                                                 

Capital subscribed                    94 466                                   

own shares redeemed at par value                                               

a capital increase not yet                                                      

registered by the Court of                                                     

Registration                                                                   

a capital decrease not yet                                                      

registered by the Court of                                                     

Registration                                                                   

Capital subscribed but not yet                                                  

paid                                                                           

Capital reserve                                                                

Profit reserve                                                                 

Result as per simplified balance                                               

Reserve/Provision                                                              

Provision for re-evaluation                                                    

differences                                                                     

-- at the mother and affiliated                                                

companies                                                                      

- Loss carried forward from the                                                

preceding years                                                                

-- at the external members                                                     

Result as per balance-sheet           71 040                                   

-- changes in the equity of the                                                

mother company                                                                 

-- changes in consequence of                                                    

the consolidation                                                              

-- changes arising from the                                                    

difference of debt                                                              

-- changes arising from the                                                    

difference of interim                                                          

.- Participations of external         70 540                                    

members (other owners)                                                         

Profit                                                                         

SPECIFIC RESERVES                                                              

Specific reserves for                                                          

anticipated losses                                                             

Specific reserves for                                                          

anticipated liabilities                                                         

Other provisions                                                               

LIABILITIES                          519 929                                   

Long-term liabilities                221 136                                   

- Investment and development                                                   

credits                                                                        

- Other long-term credits                                                       

- Long-term loans received                                                     

- Debts assumed on the issue of                                                

bonds                                                                           

- Liabilities towards the                                                      

founders                                                                       

- Other long-term liabilities                                                   

Difference of capital                                                          

consolidation arising from the                                                 

affiliated companies                                                           

Short-term liabilities               519 929                                   

Liabilities from financial                                                     

incomes                                                                        

Liabilities not related to                                                     

money movements                                                                

minus: VAT preliminary imposed                                                 

but not yet indicated in the                                                    

tax returns                                                                    

- Advance payments received                                                    

from customers                                                                  

- Liabilities from deliveries                                                  

and services (suppliers)                                                       

- Bills payable                                                                 

- Short-term credits                                                           

- Short-term loans                                                             

- Other short-term liabilities                                                  

-- towards companies under                                                     

joint management                                                               

ACCRUED EXPENSES                                                               

TOTAL LIABILITIES                  1 649 483                                   

Balance indices                            A                B                 C

Liquidity 1                            .9646                                   

Liquidity 2                            .6286                                   

Rate of sources (Liabilities/         57.23%                                   

Shareholders' equity)                                                          

Rate of tangible assets               56.22%                                   

(Tangible assets/Fixed assets)                                                 

Rate of current assets (Current       30.40%                                   

assets/Fixed assets)                                                            

Capital (Shareholders' equity/Sources)      55.07%                                   

Measure of indebtedness               31.52%                                   

(liability / all sources)                                                       

Security of fixed assets              79.13%                                   

(shrhldr's equity / fixed assets)                                               

Liquidation acid test ratio:          10.85%                                    

financial assets/ current                                                      

liabilities                                                                    

 

A. 2005.03.31.konsz nem auditált "A" eredménykimutatás (03/31/2005 - 1000000 HUF) - The figures stated in the balance sheet may contain error(s).  

 

Balance row                                A A <-           B  B <-           C

                                               B%                C%            

- Net returns from domestic sales     571 229                                   

- Net returns from export sales        3 141                                   

Net returns from sales               574 370                                   

Other revenues                                                                  

Consolidation difference                                                       

increasing profits and arising                                                 

as a result of debt consolidation                                                

- Capitalized value of assets         -3 499                                   

of own production                                                              

- Changes in the stock of            -49 642                                    

inventories compiled from own                                                  

products                                                                       

Capitalized value of own                                                        

performance                                                                    

- Material costs                     215 747                                   

- Value of material-type              25 905                                   

services the Company availed                                                   

itself of                                                                      

- Purchase value of the goods        185 351                                   

sold                                                                            

- Value of sub-contractors' performance                                               

Material--type costs                 427 003                                   

- Wages and salaries                                                           

- Other staff emoluments                                                       

- Contribution to the Social                                                   

Security Fund                                                                   

Staff costs                            2 518                                   

Depreciation                          26 887                                   

Other costs                                                                     

Other expenditures                    56 864                                   

Consolidation difference                                                       

decreasing profits and arising                                                  

as a result of debt consolidation                                               

TRADING PROFIT/INCOME FROM            91 573                                   

OPERATIONS                                                                      

Interest receivable and similar          993                                   

income                                                                         

- Dividends received and profit                                                

sharing from associated companies                                               

Dividends received and profit                                                  

sharing from other                                                             

entrepreneurs in profit sharing                                                

arrangements                                                                   

Other revenues from financial            922                                   

transactions                                                                    

Revenues from financial                1 915                                   

transactions                                                                   

Interest paid and interest             3 220                                   

related expenses                                                               

Write-offs for financial                                                       

investments                                                                     

Other expenditures on                  6 496                                   

financial. transactions                                                        

Expenses on financial                 10 878                                    

transactions                                                                   

PROFIT FROM FINANCIAL                  8 963                                   

TRANSACTIONS                                                                   

PROFIT FROM ORDINARY ACTIVITIES        1 090                                   

Extraordinary incomes                                                          

Extraordinary expenditures                                                     

EXTRAORDINARY PROFITS                                                          

PRE-TAX PROFITS                       83 700                                   

Tax payable                           10 195                                   

Calculated difference in the                                                   

corporate tax resulting from                                                   

consolidation                                                                  

AFTER-TAX PROFIT                       2 465                                   

Dividend and profit sharing                                                    

approved and paid                                                              

PROFIT AS PER BALANCE-SHEET           71 040                                    

Balance indices                            A                B                 C

Rentability                           14.57%                                   

                                                                                


 

RATING EXPLANATIONS

 

RATING

STATUS

 

 

PROPOSED CREDIT LINE

>86

Aaa

Possesses an extremely sound financial base with the strongest capability for timely payment of interest and principal sums

 

Unlimited

71-85

Aa

Possesses adequate working capital. No caution needed for credit transaction. It has above average (strong) capability for payment of interest and principal sums

 

Large

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

 

Fairly Large

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

 

Satisfactory

26-40

B

Unfavourable & favourable factors carry similar weight in credit consideration. Capability to overcome financial difficulties seems comparatively below average.

 

Small

11-25

Ca

Adverse factors are apparent. Repayment of interest and principal sums in default or expected to be in default upon maturity

 

Limited with full security

<10

C

Absolute credit risk exists. Caution needed to be exercised

 

 

Credit not recommended

NR

In view of the lack of information, we have no basis upon which to recommend credit dealings

No Rating

 

 

This score serves as a reference to assess SC’s credit risk and to set the amount of credit to be extended. It is calculated from a composite of weighted scores obtained from each of the major sections of this report. The assessed factors and their relative weights (as indicated through %) are as follows:

 

Financial condition (40%)            Ownership background (20%)                 Payment record (10%)

Credit history (10%)                    Market trend (10%)                                Operational size (10%)

 

 

 

 

PRIVATE & CONFIDENTIAL : This information is provided to you at your request, you having employed MIPL for such purpose. You will use the information as aid only in determining the propriety of giving credit and generally as an aid to your business and for no other purpose. You will hold the information in strict confidence, and shall not reveal it or make it known to the subject persons, firms or corporations or to any other. MIPL does not warrant the correctness of the information as you hold it free of any liability whatsoever. You will be liable to and indemnify MIPL for any loss, damage or expense, occasioned by your breach or non observance of any one, or more of these conditions