During the first half of 2018, the Energi Danmark Group realised a profit before tax of DKK 60.8 million and consolidated revenue of DKK 13,695 million. This corresponds to a return on equity before tax of 13 % and an increase in the gross profit of 13.7 % compared with the first half of 2017. Cash flow improved by DKK 425.2 million.
The half-year result is in line with the budget and the expectations for the year as a whole are maintained.
The Energi Danmark Group's balance sheet is DKK 8,661 million as of 30 June 2018.