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Trading Statement

Trading Statement

交易声明
GlobeNewswire ·  2021/11/24 02:06

TRADING UPDATE
           
Volumes (Year to date, 20 November 2021)

交易更新

卷(年初至今,2021年11月20日)

  2021 2020 Change v 2020 2019
Cars * 176,500 122,300 +44.3% 369,000
RoRo Freight * 254,200 292,300 -13.0% 280,100
Container Freight (teu) 316,300 286,300 +10.5% 313,100
Terminal Lifts 301,400 257,700 +17.0% 291,200
2021 2020 Change v 2020 2019
汽车* 176,500 122,300 +44.3% 369,000
RoRo货运* 254,200 292,300 -13.0% 280,100
集装箱运费(TEU) 316,300 286,300 +10.5% 313,100
端子升降 301,400 257,700 +17.0% 291,200

                           
Volumes (since last Trading Update, 21 August 2021)


成交量(自上次交易更新,2021年8月21日以来)

  22/8/21-20/11/21 22/8/20-20/11/20 Change v 2020 22/8/19- 20/11/19
Cars * 98,600 36,400 +170.9% 95,600
RoRo Freight * 85,900 94,500 -9.1% 82,600
Container Freight (teu) 89,700 85,900 +4.4% 89,900
Terminal Lifts 87,100 76,400 +14.0% 83,700
22/8/21-20/11/21 22/8/20-20/11/20 Change v 2020 22/8/19- 20/11/19
汽车* 98,600 36,400 +170.9% 95,600
RoRo货运* 85,900 94,500 -9.1% 82,600
集装箱运费(TEU) 89,700 85,900 +4.4% 89,900
端子升降 87,100 76,400 +14.0% 83,700

 (* carryings across all ferry routes, including start-up Dover – Calais route)

(*跨越所有渡轮航线,包括启动的多佛-加莱航线)

Irish Continental Group (ICG) issues this trading update which covers carryings for the year to date to 20 November 2021 and financial information for the first ten months of 2021, i.e. 1 January to 31 October with comparisons against the corresponding period in 2020. All figures are unaudited.

爱尔兰大陆集团(ICG)发布了这份最新交易报告,其中包括截至2021年11月20日的今年结转情况,以及2021年前10个月(即1月1日至10月31日)的财务信息,并与2020年同期进行了比较。所有数据都未经审计。

Consolidated Group revenue in the period was €279.7 million, an increase of €50.2 million or 21.9% compared with last year. This was partially offset by an increase in costs, primarily fuel which increased by €17m (60%) versus 2020 due to increased sailings and higher global prices.

这一时期集团的综合收入为2.797亿欧元,比去年增加了5020万欧元,增幅为21.9%。这部分被成本的增加所抵消,主要是燃料,由于航次增加和全球价格上涨,与2020年相比增加了1700万欧元(60%)。

Ferries Division

渡轮事业部

The Ferries Division has seen improved trading conditions in its passenger business following the easing of travel restrictions across the EU in mid-July with the introduction of the EU Digital Covid Certificate and with Brexit negatively impacting freight volumes but positively impacting freight revenue as more freight customers take the longer direct route to France.

随着7月中旬欧盟各地放松旅行限制,引入欧盟数字Covid证书,以及英国退欧对货运量产生负面影响,但随着更多货运客户选择更长的直达法国航线,渡轮部门的客运业务贸易条件有所改善。

Total revenues recorded in the period to 31 October were €144.5m, up 24%.

截至10月31日,总营收为1.445亿欧元,增长24%。

 On a like for like basis (excluding Dover-Calais) over the same period, compared with 2020

与2020年相比,同期在同类基础上(不包括多佛-加莱)

  • ro-ro volumes are down 20% but ro-ro revenue is flat as more customers use our Dublin-Cherbourg route where rates are higher given the longer journey time
  • car volumes are up 16%
  • 滚装量下降了20%,但滚装收入持平,因为更多的客户使用我们的都柏林-瑟堡航线,由于旅行时间更长,费率更高。
  • 汽车销量增长了16%

The impact of Covid related restrictions has had a significant impact on Passenger traffic with car volumes year to date on a like for like basis (excluding Dover Calais) down 61% compared with 2019 but reassuringly with the easing of restrictions car volumes in the period 22nd Aug to 20th November 21 were only down 22% compared with the same period in 2019.

Covid相关限制的影响对客运量产生了重大影响,今年到目前为止,在可比基础上(不包括多佛加莱)的汽车数量比2019年下降了61%,但令人放心的是,在22年期间,随着限制的放松,汽车数量下降了61%发送8月至20日与2019年同期相比,11月21日仅下降了22%。

Container and Terminal Division

货柜及码头事业部

The Container and Terminal Division continues to perform strongly. In the year to 20 November container shipments are up 10.5% with container lifts at our terminals in Dublin and Belfast up 17.0%.

货柜及货柜部继续表现强劲。在截至11月20日的一年中,集装箱出货量增长了10.5%,我们都柏林和贝尔法斯特码头的集装箱升降机增长了17.0%。

Total revenue in the division to 31 October was €146.5 million, an increase of 20.8% on the prior year. However, this was partially offset by increased fuel and supply chain costs.

截至10月31日,该部门的总收入为1.465亿欧元,比上年增长20.8%。然而,燃料和供应链成本的增加部分抵消了这一影响。

Recent Developments

最新发展动态

The Group is pleased to announce that it has entered into an agreement for the purchase of the ro-pax ferry Ciudad de Mahon from Trasmed GLE. Title to the vessel will transfer to ICG on delivery which is expected by late January 2022. The vessel will serve the Dover - Calais route operated by Irish Ferries after dry docking and branding changes.

本集团高兴地宣布,已与Trasmed GLE签订协议,从Trasmed GLE购买Ciudad de Mahon号滚装渡轮。这艘船的所有权将在交付时转让给ICG,预计将于2022年1月下旬交付。这艘船将在干船坞和品牌更换后服务于爱尔兰渡轮运营的多佛-加莱航线。

The Company commenced services on the Dover Calais route on 29 June 2021 with the Isle of Inishmore. The Isle of Innisfree (ex-Calais Seaways) was delivered to the Group on 3 November 2021. She is currently undergoing drydocking and is expected to commence services on the route during December. The Ciudad de Mahon is expected to commence services in the first quarter of 2022. The introduction of these two vessels, representing a total investment of €35.5m, alongside the Isle of Inishmore completes our previously announced plan to introduce three vessels on the Dover - Calais route. This will allow Irish Ferries to offer up to 30 sailings per day on the route with sailings in each direction approximately every 90 minutes.

该公司于2021年6月29日与伊尼什莫尔岛开始在多佛加来航线上提供服务。Innisfree岛(前加莱海道)于2021年11月3日交付专家组。她目前正在进行干坞,预计将于12月开始在这条航线上提供服务。马洪城酒店预计将于2022年第一季度开始运营。在伊尼什莫尔岛附近引进这两艘船,总投资3550万欧元,完成了我们之前宣布的在多佛-加莱航线上引进三艘船的计划。这将允许爱尔兰渡轮每天在航线上提供多达30次航行,每个方向的航行大约每90分钟一次。

Dublin Ferryport Terminals expect to commence operations at the new inland port container facility during December. This will facilitate increased capacity at the quayside container terminal at Dublin Port during 2022 with the construction of additional container stacks and the addition of 2 electrically powered remotely operated rubber-tyred gantries (RTGs), with a further 3 RTGs scheduled for later delivery as replacement for existing diesel units.

都柏林费里港码头公司预计将于12月在新的内陆港集装箱设施开始运营。这将有助于在2022年期间通过建造额外的集装箱堆栈和增加2个电动遥控橡胶轮胎门架(RTG)来提高都柏林港口码头的容量,另外还有3个RTG计划稍后交付,以取代现有的柴油机组。

The Group acknowledges its stakeholder responsibilities to operate in a manner that minimises climate impacts and continues to establish and enhance its processes and initiatives to achieve sustainable development in line with its environmental framework. The Group is closely monitoring current industry developments at the European Union and International Maritime Organization and will adjust its strategy accordingly to achieve, at a minimum, all required targets. Further information on the Group's sustainability practices and performance will be disclosed in Annual Report 2021.

本集团认识到其利益攸关方有责任以最大限度地减少气候影响的方式运作,并继续建立和加强其进程和倡议,以实现符合其环境框架的可持续发展。该集团正在密切关注欧洲联盟和国际海事组织目前的行业发展,并将相应地调整其战略,以至少实现所有必要的目标。有关集团可持续发展实践和业绩的更多信息将在2021年年度报告中披露。

The Group remains in a strong financial position with cash and undrawn committed credit facilities at 31 October of €142.4 million and net debt of €114.4 million (pre-IFRS 16: €64.1 million).

该集团的财务状况依然强劲,截至10月31日,现金和未提取的承诺信贷安排为1.424亿欧元,净债务为1.144亿欧元(国际财务报告准则第16号之前:6410万欧元)。

END.

结束。

Dublin

都柏林

24 November 2021

2021年11月24日

Enquiries

查询

Eamonn Rothwell, CEO         Tel +353 1 607 5628               Email: info@icg.ie
David Ledwidge, CFO            Tel +353 1 607 5628               Email: info@icg.ie
Q4 Public Relations                Tel +353 1 475 1444               Email: press@q4pr.ie

首席执行官埃蒙·罗斯韦尔(Eamonn Rothwell)电话:+353 1 607 5628电子邮件:info@icg.ie
首席财务官大卫·莱德维奇(David Ledwidge)电话:+353 1 607 5628电子邮件:info@icg.ie
第四季度公共关系电话:+35314751444电子邮件:press@q4pr.ie


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