©版权所有2025 Endava IFRS与Non-IFRS对账。2320212022202320232024202520242025202420242025按固定汇率计算的收入增长/(下降)与根据IFRS报告的收入增长/(下降)的对账根据IFRS报告的收入增长/(下降)根据IFRS报告的收入增长/(下降)27.2% 46.7% 21.4%(6.8)% 4.3% 5.0%(7.3)% 6.6%(5.9)%外汇汇率波动影响2.4% 0.9%(4.8)% 2.3% 2.0% 2。% 1.0% 2.5% 0.8%收入增长/(下降)按固定汇率计算包括WorldPay Captive 29.6% 47.6% 16.6%(4.5)% 6.3% 7.0%(6.3)% 9.1%(5.1)% WorldPay Captive影响0.8% ——————————不包括WorldPay Captive的按固定汇率计算的形式收入增长/(下降)率30.4% 47.6% 16.6%(4.5)% 6.3% 7.0%(6.3)% 9.1%(5.1)%收入446,298654,757794,733740,756772,255390,641362,285195,589184,098调整后税前利润对账及经调整期内溢利000年度税前溢利/(亏损)54,368102,379114,16326,98024,1136,717(15,698)2,504(7,226)调整:股份补偿开支24,42735,00531,05834,67832,04521,96514,17610,9446,496所购无形资产摊销6,72510,82312,27014,98021,57712,18210,1706,0365,149外币汇兑(收益)/亏损,净额6,546(9,944)10,7292,2333,727(3,420)4,842(2,574)1,294重组成本—— 6,58811,6456,5395,4946,5315,4944,093特殊人事费用—————— 668 — 668特殊物业费用———— 1,925 ————或有对价公允价值变动——(10,613)(9,486)(5,880)(1,871)(169)(569)194调整总额37,69835,88450,03255,97558,00834,35036,21819,33117,894调整后税前利润92,066138,263164,19582,95582,12141,06720,52021,8占收入百分比20.6% 21.1% 20.7% 11.2% 10.6% 10.5% 5.7% 11.2% 5.8%期间溢利/(亏损)43,45083,09394,16317,12221,2129,098(15,063)6,851(6,906)调整:调整税前溢利37,69835,88450,03255,97558,00834,35036,21819,33117,894解除罗马尼亚预扣税(3,800)(3,800)—(3,800)—调整的税务影响(7,241)(6,933)(11,829)(7,109)(8,806)(6,682)(4,642)(4,511)(2,397)经调整利润本期73,907112,044132,366665,98866,61432,96616,51317,8718,591经营活动产生的现金净额与调整后自由现金流量净额的对账经营活动产生的现金净额87,668120,719124,51854,39252,77336,42240,41032,04828,158调整:收到的赠款22813949470727427410 — 10购买的非流动资产净额(有形和无形资产)(5,236)(13,695)(13,487)(5,140)(4,364)(1,535)(11,064)(436)(8,021)收购COC奖金结算—— 8,442 ————调整后自由现金流82,660107,163111,52558,40148,68335,16129,35631,61220,147调整后自由现金流占收入的百分比18.5% 16.4% 14.0% 7.9% 6.3% 9.0% 8.1% 16.2% 10.9%截至12月31日止六个月截至12月31日止三个月