Annex I

ANNEX I

FINANCIAL SUMMARY

(amount in euros)
a) Share capital registered and pending registration
Share capital as recorded 1.188.681.740,08
Share capital pending subscription, the increase of which is planned for the 2024 financial year, as set out in the Agreement formalized on June 25, 2021 31.126.416,89
1. Share capital allocated to planned works 1.169.399.348,35
– Works completed prior to the Agreement of 25/06/2021 934.064.358,86
– Collection of Deferred Amortization Fees -1.449.103,32
– Works scheduled under the Agreement of 25/06/2021 210.668.927,30
– Works completed under the Agreement of 25/06/2021 26.115.165,51
2. Repair work carried out in actions 35.858.561,85
– Share capital for repair works in 2nd Ad. Agreement of 25/06/2021 35.233.403,39
– New repair work costs 625.158,46
– Repair works planned in the 3rd Amendment to the Agreement of 25/06/2021 15.000.000,00
3. Increase in share capital 2017 due to FEDER not received 4.245.076,60
– Extension to cover the funding shortfall from ERDF not received in 2017 10.704.025,58
– Reduction of deficit due to ERDF funds received in 2019 -6.458.948,98
Funding deficit -4.694.829,83
b) Social capital needs
1. Financing needs for works already completed 3.064.600,81
2. Share capital recovered through the collection of deferred amortization fees for completed works 125.149,00
3. Increased share capital consumed in repair work 625.158,46
4. Increased share capital to be consumed due to variations in the financing of planned, ongoing or pending works 1.130.219,56
5. New actions subject to commission 42.373.900,00
6. New scheduled repairs 18.675.984,27
Additional capital needs -65.744.714,10
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