IE Domain Registry t/a .IE

Profit and Loss Year to 31 Dec 2020 Year to 31 Dec 2019 € € Registration Revenue 3,773,326 3,605,404 Administration Expenses (1,467,745) (1,762,966) Employment Costs (1,842,939) (1,631,745) Depreciation/Amortisation (130,322) (125,897) Operating profit 332,320 84,796 Unrealised gains on financial investment 167,468 193,974 Loss on sale of financial investment (79,774) 0 Interest income 11,392 14,211 Other Income 80,107 0 Taxation (92,098) (61,543) Profit after taxation 419,415 231,438 Balance Sheet At 31 Dec 2020 At 31 Dec 2019 € € Fixed Assets 273,212 77,230 Investments 4,466,299 4,378,689 Current Assets 3,628,342 3,367,858 Creditors <1 year, excluding Deferred Income (893,648) (1,099,400) Deferred Income (2,795,123) (2,506,577) Creditors >1 year (114,059) (72,192) Members’ Funds 4,565,023 4,145,608 Cash Flow Year to 31 Dec 2020 Year to 31 Dec 2019 € € Net cash inflow from operating activities 518,823 505,385 Increase in cash in the year 283,574 419,722 IE Domain Registry CLG t/a .IE / Annual Report & Review 2020 2 Performance Highlights Performance Highlights 2020 Extract from the audited Financial Statements (financial figures only)

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