Ellomay Capital Reports Publication Of Financial Statements Of Dorad Energy Ltd. As Of And For The Three And Nine Months Ended September 30, 2025
| Dorad Energy Ltd. | ||||||
| Interim Condensed Statements of Financial Position | ||||||
| | September 30 | | September 30 | | December 31 | |
| 2025 | | 2024 | | 2024 | ||
| (Unaudited) | | (Unaudited) | | (Audited) | ||
| NIS thousands | | NIS thousands | | NIS thousands | ||
| Assets | | | | | | |
| Cash and cash equivalents | | 1,074,718 | | 531,210 | | 846,565 |
| Trade receivables and accrued income | | 426,129 | | 497,530 | | 185,625 |
| Other receivables | | 29,843 | | 43,413 | | 32,400 |
| Financial derivatives | | - | | 1,661 | | - |
| Total current assets | | 1,530,690 | | 1,073,814 | | 1,064,590 |
| | | | | | | |
| Non-current assets | | | | | | |
| Restricted deposits | | 480,877 | | 529,875 | | 531,569 |
| Long-term prepaid expenses | | 78,657 | | 28,538 | | 79,739 |
| Fixed assets | | 2,595,943 | | 2,953,489 | | 2,697,592 |
| Intangible assets | | 10,701 | | 8,134 | | 9,688 |
| Right of use assets | | 52,636 | | 54,250 | | 54,199 |
| Total non-current assets | | 3,218,814 | | 3,574,286 | | 3,372,787 |
| | | | | | | |
| Total assets | | 4,749,504 | | 4,648,100 | | 4,437,377 |
| | | | | | | |
| Liabilities | | | | | | |
| Current maturities of loans from banks | | 341,094 | | 341,281 | | 321,805 |
| Current maturities of lease liabilities | | 5,124 | | 4,941 | | 4,887 |
| Current tax liabilities | | 35,763 | | - | | 14,016 |
| Trade payables | | 384,283 | | 440,303 | | 168,637 |
| Other payables | | 39,862 | | 10,914 | | 14,971 |
| Financial derivatives | | 1,793 | | - | | - |
| Total current liabilities | | 807,919 | | 797,439 | | 524,316 |
| | | | | | | |
| Non-current liabilities | | | | | | |
| Loans from banks | | 1,650,143 | | 1,904,195 | | 1,750,457 |
| Other long-term liabilities | | 38,756 | | 9,827 | | 60,987 |
| Long-term lease liabilities | | 48,942 | | 50,061 | | 46,809 |
| Provision for dismantling and restoration | | 38,039 | | 36,204 | | 38,102 |
| Deferred tax liabilities, net | | 416,965 | | 354,503 | | 399,282 |
| Liabilities for employee benefits, net | | 160 | | 160 | | 160 |
| Total non-current liabilities | | 2,193,005 | | 2,354,950 | | 2,295,797 |
| | | | | | | |
| Equity | | | | | | |
| Share capital | | 11 | | 11 | | 11 |
| Share premium | | 642,199 | | 642,199 | | 642,199 |
| Capital reserve from activities with shareholders | | 3,748 | | 3,748 | | 3,748 |
| Retained earnings | | 1,102,622 | | 849,753 | | 971,306 |
| Total equity | | 1,748,580 | | 1,495,711 | | 1,617,264 |
| | | | | | | |
| Total liabilities and equity | | 4,749,504 | | 4,648,100 | | 4,437,377 |
| Dorad Energy Ltd. | |||||||||
| Interim Condensed Statements of Profit or Loss | |||||||||
| | For the nine months ended | | For the three months ended | | Year ended | ||||
| | September 30 | | September 30 | | December 31 | ||||
| | 2025 | | 2024 | | 2025 | | 2024 | | 2024 |
| | (Unaudited) | | (Unaudited) | | (Unaudited) | | (Unaudited) | | (Audited) |
| | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands |
| Revenues | 2,096,391 | | 2,366,358 | | 919,055 | | 1,096,456 | | 2,863,770 |
| | | | | | | | | | |
| Operating costs of the Power Plant: | | | | | | | | | |
| | | | | | | | | | |
| Energy costs | 348,607 | | 483,965 | | 168,087 | | 193,180 | | 574,572 |
| Purchases of electricity and infrastructure services | 1,073,708 | | 1,073,350 | | 418,989 | | 505,678 | | 1,372,618 |
| Depreciation and amortization | 168,757 | | 183,735 | | 65,909 | | 68,016 | | 106,266 |
| Other operating costs | 140,072 | | 141,992 | | 51,116 | | 59,227 | | 190,027 |
| | | | | | | | | | |
| Total operating costs of Power Plant | 1,731,144 | | 1,883,042 | | 704,101 | | 826,101 | | 2,243,483 |
| | | | | | | | | | |
| Profit from operating the Power Plant | 365,247 | | 483,316 | | 214,954 | | 270,355 | | 620,287 |
| General and administrative expenses | 25,698 | | 25,328 | | 9,209 | | 8,600 | | 23,929 |
| Other income | 15 | | 30 | | 15 | | 30 | | 58 |
| | | | | | | | | | |
| Operating profit | 339,564 | | 458,018 | | 205,760 | | 261,785 | | 596,416 |
| | | | | | | | | | |
| Financing income | 47,422 | | 40,982 | | 15,277 | | 9,098 | | 184,939 |
| Financing expenses | 216,241 | | 166,818 | | 67,355 | | 63,736 | | 193,825 |
| | | | | | | | | | |
| Financing expenses, net | 168,819 | | 125,836 | | 52,078 | | 54,638 | | 8,886 |
| | | | | | | | | | |
| Profit before taxes on income | 170,745 | | 332,182 | | 153,682 | | 207,147 | | 587,530 |
| | | | | | | | | | |
| Taxes on income | 39,429 | | 76,408 | | 35,305 | | 47,664 | | 135,203 |
| | | | | | | | | | |
| Net Profit for the period | 131,316 | | 255,774 | | 118,377 | | 159,483 | | 452,327 |
| Dorad Energy Ltd. | |||||||||||
| Interim Condensed Statements of Changes in Shareholders' Equity | |||||||||||
| | Share capital | | Share premium | | Capital reserve for activities with shareholders | | Retained earnings | | | Total Equity | |
| | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands | | | NIS thousands | |
| For the nine months ended | | | | | | | | | | ||
| | | | | | | | | | | ||
| Balance as at January 1, 2025 (Audited) | 11 | | 642,199 | | 3,748 | | 971,306 | | | 1,617,264 | |
| Net Profit for the period | - | | - | | - | | 131,316 | | | 131,316 | |
| | | | | | | | | | | ||
| Balance as at September 30, 2025 (Unaudited) | 11 | | 642,199 | | 3,748 | | 1,102,622 | | | 1,748,580 | |
| For the nine months ended September 30, 2024 (Unaudited) | | | | | | | | | | ||
| | | | | | | | | | | ||
| Balance as at | 11 | | 642,199 | | 3,748 | | 643,979 | | 1,289,937 | ||
| Net Profit for the period | - | | - | | - | | 255,774 | | 255,774 | ||
| Dividend distributed | - | | - | | - | | (50,000 | ) | | (50,000 | ) |
| Balance as at | 11 | | 642,199 | | 3,748 | | 849,753 | | 1,495,711 |
| For the three months ended September 30, 2025 (Unaudited) | | | | | | | | | | | |
| | | | | | | | | | | | |
| Balance as at July 1, 2025 (Unaudited) | 11 | | 642,199 | | 3,748 | | 984,245 | | | 1,630,203 | |
| Net Profit for the period | - | | - | | - | | 118,377 | | | 118,377 | |
| Balance as at | 11 | | 642,199 | | 3,748 | | 1,102,622 | | | 1,748,580 | |
| | | | | | | | | | | | |
| For the three months ended | | | | | | | | | | ||
| | | | | | | | | | | ||
| Balance as at July 1, 2024 (Unaudited) | 11 | | 642,199 | | 3,748 | | 740,270 | | 1,386,228 | ||
| Net Profit for the period | - | | - | | - | | 159,483 | | 159,483 | ||
| Dividend distributed | - | | - | | - | | (50,000 | ) | | (50,000 | ) |
| | | | | | | | | | | ||
| Balance as at | 11 | | 642,199 | | 3,748 | | 849,753 | | 1,495,711 | ||
| | | | | | | | | | |
| Dorad Energy Ltd. | |||||||||
| Interim Condensed Statements of Changes in Shareholders' Equity (cont'd) | |||||||||
| | Share capital | | Share premium | | Capital reserve for activities with shareholders | | Retained earnings | | Total Equity |
| | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands |
| For the year ended | | | | | | | | | |
| | | | | | | | | | |
| Balance as at January 1, 2024 (Audited) | 11 | | 642,199 | | 3,748 | | 643,979 | | 1,289,937 |
| | | | | | | | | | |
| Dividend distributed | - | | - | | - | | (125,000) | | (125,000) |
| Net profit for the year | - | | - | | - | | 452,327 | | 452,327 |
| | | | | | | | | | |
| Balance as at | 11 | | 642,199 | | 3,748 | | 971,306 | | 1,617,264 |
| Dorad Energy Ltd. | ||||||||||||||
| Interim Condensed Statements of Cash Flows | ||||||||||||||
| | For the nine months | | For the three months | | Year ended | |||||||||
| | 2025 | | 2024 | | 2025 | | 2024 | | 2024 | |||||
| | (Unaudited) | | (Unaudited) | | (Unaudited) | | (Unaudited) | | (Audited) | |||||
| | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands | | NIS thousands | |||||
| Cash flows from operating activities | | | | | | | | | | |||||
| Net profit for the period | 131,316 | | 255,774 | | 118,377 | | 159,483 | | 452,327 | |||||
| Adjustments: | | | | | | | | | | |||||
| Depreciation and amortization and fuel consumption | 177,626 | | 190,559 | | 67,342 | | 68,217 | | 121,664 | |||||
| Taxes on income | 39,429 | | 76,408 | | 35,305 | | 47,664 | | 135,203 | |||||
| Financing expenses, net | 168,819 | | 125,836 | | 52,078 | | 54,638 | | 8,886 | |||||
| | 385,874 | | 392,803 | | 154,725 | | 170,519 | | 265,753 | |||||
| | | | | | | | | | | |||||
| Change in trade receivables | (240,504 | ) | | (285,664 | ) | | (132,459 | ) | | (181,157 | ) | | 26,241 | |
| Change in other receivables | 2,556 | | (36,467 | ) | | 5,852 | | 7,454 | | (20,951) | | |||
| Change in trade payables | 269,285 | | 266,099 | | 150,256 | | 207,978 | | (10,361 | | ||||
| Change in other payables | 25,285 | | (3,033 | ) | | 23,608 | | 909 | | (3,481) | | |||
| Change in other long-term liabilities | (19,059 | ) | | (3,115 | ) | | 1,627 | | (999 | ) | | (3,661) | | |
| | 37,563 | | (62,180 | ) | | 48,884 | | 34,185 | | (12,213) | | |||
| Net cash flows from operating activities | 554,753 | | 586,397 | | 321,986 | | 364,187 | | 705,867 | |||||
| | | | | | | | | | | |||||
| Cash flows from investing activities | | | | | | | | | | |||||
| Proceeds (payment) for settlement of financial derivatives, net | (2,927 | ) | | (2,653 | ) | | (3,429 | ) | | (1,603 | ) | | 1,548 | |
| Proceeds from insurance for damages to fixed assets | - | | 5,148 | | - | | - | | 5,148 | |||||
| Proceeds from arbitration | - | | - | | - | | - | | 337,905 | |||||
| Decrease in restricted deposits | - | | 17,500 | | - | | - | | 17,500 | |||||
| Investment in fixed assets | (71,472 | ) | | (34,782 | ) | | (1,175 | ) | | (2,646 | ) | | (44,132) | |
| Investment in intangible assets | (2,395 | ) | | (1,974 | ) | | (452 | ) | | (505 | ) | | (4,054) | |
| Interest received | 44,293 | | 29,673 | | 14,615 | | 10,096 | | 42,221 | |||||
| Net cash flows from (used in) investing activities | (32,501 | ) | | 12,912 | | 9,559 | | 5,342 | | 356,136 | ||||
| | | | | | | | | | | |||||
| Cash flows from financing activities | | | | | | | | | | |||||
| Repayment of lease liability | (227 | ) | | (329 | ) | | (114 | ) | | (111 | ) | | (4,984) | |
| Repayment of loans from banks | (164,899 | ) | | (141,966 | ) | | - | | - | | (284,570) | | ||
| Dividends paid | - | | (67,500 | ) | | - | | (50,000 | ) | | (142,500) | | ||
| Interest paid | (53,810 | ) | | (72,910 | ) | | (154 | ) | | (155 | ) | | (129,957) | |
| Proceeds from arbitration | - | | - | | - | | - | | 127,195 | |||||
| Net cash flows used in financing activities | (218,936 | ) | | (282,705 | ) | | (268 | ) | | (50,266 | ) | | (434,816) | |
| | | | | | | | | | | |||||
| Net increase in cash and cash equivalents | 303,316 | | 316,604 | | 331,277 | | 319,263 | | 627,187 | |||||
| | | | | | | | | | | |||||
| Effect of exchange rate fluctuations on cash and cash equivalents | (75,163 | ) | | (4,640 | ) | | (15,540 | ) | | (6,120 | ) | | 132 | |
| Cash and cash equivalents at beginning of period | 846,565 | | 219,246 | | 758,981 | | 218,067 | | 219,246 | |||||
| Cash and cash equivalents at end of period | 1,074,718 | | 531,210 | | 1,074,718 | | 531,210 | | 846,565 | |||||
| | | | | | | | | | | |||||
| (a) significant non- cash activity | - | | - | | - | | - | | 56,208 |

Legal Disclaimer:
MENAFN provides the
information “as is” without warranty of any kind. We do not accept
any responsibility or liability for the accuracy, content, images,
videos, licenses, completeness, legality, or reliability of the information
contained in this article. If you have any complaints or copyright
issues related to this article, kindly contact the provider above.

Comments
No comment