May 20 (Reuters) - Aannemingsmaatschappij Cfe NV CFEB.BR :
* QUARTERLY INFORMATION AT 31 MARCH 2020
* AS OF 31 MARCH 2020, THE CFE GROUP HAD A TOTAL CASH
POSITION OF
€ 586 MILLION
* MAJOR IMPACT OF THE PUBLIC HEALTH CRISIS ON REVENUE, CASH
FLOW
AND RESULTS OF DEME AND CFE CONTRACTING IN 2020
* END-MARCH TOTAL ORDER BOOK EUR 4.73 BILLION
* Q1 REVENUE EUR 760.9 MILLION VERSUS EUR 838.4 MILLION YEAR
AGO
* COVID-19: DEME EXPECTS DECREASE IN REVENUE IN 2020, NET
RESULT
SHOULD HOWEVER BE POSITIVE
* END-MARCH NET FINANCIAL DEBT EUR 850.4 MILLION VERSUS EUR
798.1
MILLION AT END-DEC
* CFE CONTRACTING WILL REPORT IN 2020 A DECREASE IN REVENUE
COMPARED TO 2019. THE NET RESULT SHOULD BE CLOSE TO BREAK-EVEN
* ORDER TO START THE CONSTRUCTION OF THE FEHMARNBELT LINK ON
1
JANUARY 2021
* ON CORONAVIRUS: POSTPONEMENT OF DEME'S PROJECTS IN THE
TENDERING
STAGE, PARTICULARLY IN THE MIDDLE EAST, AFRICA AND ASIA
Source text: https://bit.ly/3bLTKVE
Further company coverage: CFEB.BR
(Gdansk Newsroom)
((gdansk.newsroom@thomsonreuters.com; +48 58 778 51 10;))