ANNUAL ACCOUNT IN EURO (2 decimals)

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1 40 1 EUR Nr. Date of the deposition No PP. B. D. C 1.1 ANNUAL ACCOUNT IN EURO (2 decimals) NAME: AGFA-GEVAERT Legal form: Public limited company Address: Septestraat Nr.: 27 Postal Code: 2640 City: Mortsel Country: Belgium Register of Legal Persons (RLP) - Office of the commercial court at: Antwerpen Internet address *: Company number: DATE of the deposition of the partnership deed OR of the most recent document mentioning the date of publication of the partnership deed and the act changing the articles of association. ANNUAL ACCOUNT approved by the General Meeting of concerning the financial year covering the period from till Previous period from till The amounts of the previous financial year are / are not ** identical to those which have been previously published. COMPLETE LIST WITH name, first name, profession, residence-address (address, number, postal code, municipality) and position with the enterprise, OF DIRECTORS, MANAGERS AND AUDITORS Klynveld Peat Marwick Goerdeler, Bedrijfsrevisoren, vertegenwoordigd door T. Erauw (753) & E. Helsen Prins Boudewijnlaan 24d, 2550 Kontich, Belgium Title : Auditor, Number of membership : 659 Verhoeven Ludo Oostmallebaan 28, 2980 Zoersel, Belgium Title : President of the board of directors Oosterlinck André Parklaan 13, 3360 Lovenjoel, Belgium Title : Director Chaffart Ferdinand Breynissemberg 18, 3300 Tienen, Belgium Title : Director Enclosed to these annual accounts: MANAGEMENT REPORT, REPORT OF THE COMMISSIONERS Total number of pages deposited: of service: 5.2.4, 5.3.4, 5.5.2, Number of the pages of the standard form not deposited for not being * Optional statement. ** Delete where appropriate. Signature (name and position) J. De Smet Head of Accounting Signature (name and position) C. Ansorge VP Finance & Administration

2 Nr C 1.1 LIST OF DIRECTORS, MANAGERS AND AUDITORS (continuation of the previous page) Van Miert Karel Puttestraat 10, 1650 Beersel, Belgium Title : Director Cornu Jozef Grouwesteenstraat 13, 9170 Sint-Gillis-Waas, Belgium Title : Delegated director Leysen Christian Filip Williotstraat 12, 2600 Berchem (Antwerpen), Belgium Title : Director Buttrick John West 81 st Street 15, NY10024 New York, United States of America Title : Director De Wilde Julien Jabekestraat 49, 9230 Wetteren, Belgium Title : Director Mandate : /50

3 Nr C 1.2 DECLARATION ABOUT SUPPLEMENTARY AUDITING OR ADJUSTMENT MISSION The managing board declares that the assignment neither regarding auditing nor adjusting has been given to a person who was not authorised by law pursuant to art. 34 and 37 of the Law of 22nd April 1999 concerning the auditing and tax professions. Have the annual accounts been audited or adjusted by an external accountant or auditor who is not a statutory auditor? YES / NO *. If YES, mention here after: name, first names, profession, residence-address of each external accountant or auditor, the number of membership with the professional Institute ad hoc and the nature of this engagement: A. Bookkeeping of the undertaking**, B. Preparing the annual accounts**, C. Auditing the annual accounts and/or D. Adjusting the annual accounts. If the assignment mentioned either under A or B is performed by authorised accountants or authorised accountants-tax consultants, information will be given on: name, first names, profession and residence-address of each authorised accountant or accountanttax consultant, his number of membership with the Professional Institute of Accountants and Tax consultants and the nature of this engagement. Name, first name, profession, residence-address Number of membership Nature of the engagement (A, B, C and/or D) * Delete where appropriate. ** Optional disclosure. 3/50

4 Toel. Nr C 2.1 BALANCE SHEET ASSETS FIXED ASSETS... Notes Codes Period Previous period 20/ , ,27 Formation expenses Intangible fixed assets.. Tangible fixed assets Land and buildings / , , , , , , , ,82 Plant, machinery and equipment , ,22 Furniture and vehicles , ,56 Leasing and other similar rights 25 Other tangible fixed assets. Assets under construction and advance payments , , , ,71 Financial fixed assets Affiliated enterprises / / , , , ,85... Participating interests..... Amounts receivable.... Other enterprises linked by participating interests / , , , , ,00 Participating interests..... Amounts receivable.... Other financial assets.... Shares.... Amounts receivable and cash guarantees / / , , , , , , , ,45 CURRENT ASSETS..... Amounts receivable after more than one year Trade debtors. Other amounts receivable... Stocks and contracts in progress... Stocks..... Raw materials and consumables Work in progress..... Finished goods.... Goods purchased for resale Immovable property intended for sale... 29/ /36 30/ , , , , , , , , , , , , , , , , , ,04 Advance payments..... Contracts in progress..... Amounts receivable within one year Trade debtors. Other amounts receivable... Current investments Own shares Other investments and deposits Cash at bank and in hand.... Deferred charges and accrued income TOTAL ASSETS / / / /53 54/58 490/1 20/ , , , , , , , , , , , , , , , , , ,60 4/50

5 Nr C 2.2 EQUITY AND LIABILITIES EQUITY. Capital.. Issued... capital. Uncalled capital.. Share premium account... Revaluation surpluses.. Reserves.... Legal reserve. Reserves not available In respect of own shares.. held... Other... Untaxed reserves... Available reserves... Accumulated profits (losses)...(+)/(-) Investment grants.. Advance to associates on the sharing out of the assets PROVISIONS AND DEFERRED TAXES Provisions for liabilities and charges Pensions and similar obligations Taxation... Major repairs and maintenance.. Other liabilities and charges Deferred taxes..... AMOUNTS PAYABLE Amounts payable after more than one year Financial debts... Subordinated loans Unsubordinated debentures... Leasing and other similar obligations Credit institutions.... Other loans.... Trade debts.... Suppliers.... Bills of exchange payable... Advances received on contracts in progress Other amounts payable Amounts payable within one year... Current portion of amounts payable after more than one year falling due within one year.. Financial debts... Credit institutions.... Other loans.... Trade debts.... Suppliers.... Bills of exchange payable... Advances received on contracts in progress Taxes, remuneration and social security Taxes... Remuneration and social security.... Other amounts payable Deferred charges and accrued income TOTAL LIABILITIES Notes Codes Period Previous period 10/ , , / / / / /9 42/ / / /3 454/9 47/48 492/3 10/ , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , ,60 5/50

6 Nr C 3 INCOME STATEMENT Notes Codes Period Previous period Operating income... Turnover / , , , ,57 Increase (decrease) in stocks of finished goods, work and contracts in progress..(+)/(-) , ,82 Own construction capitalised.... Other operating income Operating charges.. Raw materials, consumables Purchases... Decrease (increase) in stocks (+)/(-) / / , , , , , , , , , , , ,36 Services and other goods Remuneration, social security costs and pensions...(+)/(-) , , , ,58 Depreciation of and amounts written off formation expenses, intangible and tangible fixed assets , ,53 Amounts written down stocks, contracts in progress and trade debtors - Appropriations (write-backs)...(+)/(-) / , ,73 Provisions for risks and charges - Appropriations (uses and write-backs)..(+)/(-) / , ,20 Other operating charges Operation charges carried to assets as restructuring costs... (-) / , ,09 Operating profit (loss)..(+)/(-) , ,70 Financial income.... Income from financial fixed assets... Income from current assets Other financial income / , , , , , , , ,73 Financial charges Debt charges..... Amounts written down on current assets except stocks, contracts in progress and trade debtors (+)/(-) , , , , , ,88 Other financial charges. Gain (loss) on ordinary activities before taxes. (+)/(-) 652/ , , , ,47 6/50

7 Nr C 3 Codes Period Previous period Extraordinary income. Write-back of depreciation and of amounts written down intangible and tangible fixed assets.... Write-back of amounts written down financial fixed assets , ,06 Write-back of provisions for extraordinary liabilities and charges... Gains on disposal of fixed assets Other extraordinary income. Extraordinary charges Extraordinary depreciation of and extraordinary amounts written off formation expenses, intangible and tangible fixed assets Amounts written down financial fixed assets Provisions for extraordinary liabilities and charges - Appropriations (uses)...(+)/(-) / , , , , , ,70 Loss on disposal of fixed assets Other extraordinary charges Extraordinary charges carried to assets as restructuring costs...(-) / , , ,68 703,02 Profit (loss) for the period before taxes.(+)/(-) , ,83 Transfer from postponed taxes Transfer to postponed taxes.. Income taxes... Income taxes... Adjustment of income taxes and write-back of tax provisions... Profit (loss) for the period...(+)/(-) /77 670/ , , , , , , , ,52 Transfer from untaxed reserves Transfer to untaxed reserves.. Profit (loss) for the period available for appropriation (+)/(-) , , , , , ,51 7/50

8 Nr C 4 APPROPRIATION ACCOUNT Codes Period Previous period Profit (loss) to be appropriated...(+)/(-) , ,54 Gain (loss) to be appropriated.(+)/(-) (9905) , ,51 Profit (loss) to be carried forward...(+)/(-) 14P , ,03 Transfers from capital and reserves /2 from capital and share premium account.... from reserves... Transfers to capital and reserves. to capital and share premium account /2 691 to the legal reserve to other reserves Profit (loss) to be carried forward...(+)/(-) (14) , ,54 Owner's contribution in respect of losses..... Profit to be distributed.... Dividends / , ,00 Director's or manager's entitlements Other beneficiaries /50

9 Nr C 5.1 EXPLANATORY DISCLOSURES STATEMENT OF FORMATION EXPENSES Codes Period Previous period Net book value at the end of the period New expenses incurred. Depreciation.. Other...(+)/(-) Net book value at the end of the period Of which Formation or capital increase expenses, loan issue expenses and other formation expenses... Restructuring costs P (20) 200/ , , , ,00 9/50

10 Nr C STATEMENT OF INTANGIBLE FIXED ASSETS Codes Period Previous period RESEARCH AND DEVELOPMENT COSTS Acquisition value at the end of the period P ,30 Acquisitions, including produced fixed assets ,34 Sales and disposals ,35 Transfers from one heading to another... (+)/(-) ,13 Acquisition value at the end of the period ,16 Depreciation and amounts written down at the end of the period 8121P ,29 Recorded Written back. Acquisitions from third parties. Cancelled owing to sales and disposals. Transfers from one heading to another... (+)/(-) , , ,87 Depreciation and amounts written down at the end of the period ,97 NET BOOK VALUE AT THE END OF THE PERIOD ,19 10/50

11 Nr C Codes Period Previous period CONCESSIONS, PATENTS, LICENCES, KNOWHOW, BRANDS AND SIMILAR RIGHTS Acquisition value at the end of the period P ,19 Acquisitions, including produced fixed assets ,23 Sales and disposals ,42 Transfers from one heading to another... (+)/(-) ,13 Acquisition value at the end of the period ,13 Depreciation and amounts written down at the end of the period 8122P ,00 Recorded ,66 Written back Acquisitions from third parties Cancelled owing to sales and disposals ,48 Transfers from one heading to another... (+)/(-) ,87 Depreciation and amounts written down at the end of the period.. NET BOOK VALUE AT THE END OF THE PERIOD , ,08 11/50

12 Nr C Codes Period Previous period GOODWILL Acquisition value at the end of the period P ,64 Acquisitions, including produced fixed assets Sales and disposals ,64 Transfers from one heading to another... (+)/(-) 8043 Acquisition value at the end of the period Depreciation and amounts written down at the end of the period 8123P ,64 Recorded 8073 Written back Acquisitions from third parties Cancelled owing to sales and disposals ,64 Transfers from one heading to another... (+)/(-) 8113 Depreciation and amounts written down at the end of the period.. NET BOOK VALUE AT THE END OF THE PERIOD /50

13 Nr C STATEMENT OF TANGIBLE FIXED ASSETS Codes Period Previous period LAND AND BUILDINGS Acquisition value at the end of the period P ,90 Acquisitions, including produced fixed assets ,46 Sales and disposals ,19 Transfers from one heading to another... (+)/(-) 8181 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,17 Recorded 8211 Acquisitions from third parties Cancelled 8231 Transfers from one heading to another (+)/(-) 8241 Revaluation surpluses at the end of the period Depreciation and amounts written down at the end of the period 8321P ,08 Recorded Written back. Acquisitions from third parties. Cancelled owing to sales and disposals. Transfers from one heading to another (+)/(-) Depreciation and amounts written down at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD (22) , , , ,83 13/50

14 Nr C Codes Period Previous period PLANT, MACHINERY AND EQUIPMENT Acquisition value at the end of the period P ,85 Acquisitions, including produced fixed assets ,97 Sales and disposals ,74 Transfers from one heading to another... (+)/(-) 8182 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,08 Recorded 8212 Acquisitions from third parties Cancelled 8232 Transfers from one heading to another (+)/(-) 8242 Revaluation surpluses at the end of the period Depreciation and amounts written down at the end of the period 8322P ,63 Recorded ,35 Written back Acquisitions from third parties Cancelled owing to sales and disposals ,59 Transfers from one heading to another (+)/(-) 8312 Depreciation and amounts written down at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD 8322 (23) , ,69 14/50

15 Nr C Codes Period Previous period FURNITURE AND VEHICLES Acquisition value at the end of the period P ,58 Acquisitions, including produced fixed assets ,04 Sales and disposals ,88 Transfers from one heading to another... (+)/(-) 8183 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,74 Recorded 8213 Acquisitions from third parties Cancelled 8233 Transfers from one heading to another (+)/(-) 8243 Revaluation surpluses at the end of the period Depreciation and amounts written down at the end of the period 8323P ,02 Recorded ,00 Written back Acquisitions from third parties Cancelled owing to sales and disposals ,03 Transfers from one heading to another (+)/(-) 8313 Depreciation and amounts written down at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD 8323 (24) , ,75 15/50

16 Nr C Codes Period Previous period OTHER TANGIBLE FIXED ASSETS Acquisition value at the end of the period P ,10 Acquisitions, including produced fixed assets ,04 Sales and disposals ,68 Transfers from one heading to another... (+)/(-) 8185 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,46 Recorded 8215 Acquisitions from third parties Cancelled 8235 Transfers from one heading to another (+)/(-) 8245 Revaluation surpluses at the end of the period Depreciation and amounts written down at the end of the period 8325P ,48 Recorded ,65 Written back Acquisitions from third parties Cancelled owing to sales and disposals ,09 Transfers from one heading to another (+)/(-) 8315 Depreciation and amounts written down at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD 8325 (26) , ,42 16/50

17 Nr C Codes Period Previous period ASSETS UNDER CONSTRUCTION AND ADVANCED PAYMENTS Acquisition value at the end of the period P ,81 Acquisitions, including produced fixed assets ,57 Sales and disposals ,44 Transfers from one heading to another... (+)/(-) 8186 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,94 Recorded 8216 Acquisitions from third parties Cancelled 8236 Transfers from one heading to another (+)/(-) 8246 Revaluation surpluses at the end of the period Depreciation and amounts written down at the end of the period 8326P ,10 Recorded ,97 Written back Acquisitions from third parties Cancelled owing to sales and disposals Transfers from one heading to another (+)/(-) 8316 Depreciation and amounts written down at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD 8326 (27) , ,87 17/50

18 Nr C STATEMENT OF FINANCIAL FIXED ASSETS Codes Period Previous period AFFILIATED ENTERPRISES - PARTICIPATING INTERESTS AND SHARES Acquisition value at the end of the period P ,86 Acquisitions, including produced fixed assets ,10 Sales and disposals ,23 Transfers from one heading to another... (+)/(-) 8381 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,73 Recorded 8411 Acquisitions from third parties Cancelled 8431 Transfers from one heading to another (+)/(-) 8441 Revaluation surpluses at the end of the period Amounts written down at the end of the period P ,01 Recorded 8471 Written back Acquisitions from third parties Cancelled owing to sales and disposals Transfers from one heading to another (+)/(-) 8511 Amounts written down at the end of the period Uncalled amounts at the end of the period (+)/(-) P ,01 Uncalled amounts at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD (280) ,72 AFFILIATED ENTERPRISES - AMOUNTS RECEIVABLE NET BOOK VALUE AT THE END OF THE PERIOD 281P Additions ,16 Repayments ,16 Amounts written down Amounts written back Exchange differences (+)/(-) 8621 Other...(+)/(-) 8631 NET BOOK VALUE AT THE END OF THE PERIOD ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS RECEIVABLE AT THE END OF THE PERIOD (281) ,00 18/50

19 Nr C Codes Period Previous period OTHER ENTERPRISES LINKED BY PARTICIPATING INTERESTS - PARTICIPATING INTERESTS AND SHARES Acquisition value at the end of the period P ,00 Acquisitions, including produced fixed assets Sales and disposals Transfers from one heading to another... (+)/(-) 8382 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,00 Recorded 8412 Acquisitions from third parties Cancelled 8432 Transfers from one heading to another (+)/(-) 8442 Revaluation surpluses at the end of the period Amounts written down et the end of the period P ,00 Recorded 8472 Written back Acquisitions from third parties Cancelled owing to sales and disposals Transfers from one heading to another (+)/(-) 8512 Amounts written down at the end of the period Uncalled amounts at the end of the period (+)/(-) P ,00 Uncalled amounts at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD (282) ,00 OTHER ENTERPRISES LINKED BY PARTICIPATING INTERESTS - AMOUNTS RECEIVABLE NET BOOK VALUE AT THE END OF THE PERIOD 283P Additions Repayments Amounts written down Amounts written back Exchange differences (+)/(-) 8622 Other...(+)/(-) 8632 NET BOOK VALUE AT THE END OF THE PERIOD ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS RECEIVABLE AT THE END OF THE PERIOD (283) /50

20 Nr C Codes Period Previous period OTHER ENTERPRISES - PARTICIPATING INTERESTS AND SHARES Acquisition value at the end of the period P ,84 Acquisitions, including produced fixed assets Sales and disposals ,67 Transfers from one heading to another... (+)/(-) 8383 Acquisition value at the end of the period Revaluation surpluses at the end of the period P ,17 Recorded 8413 Acquisitions from third parties Cancelled 8433 Transfers from one heading to another (+)/(-) 8443 Revaluation surpluses at the end of the period Amounts written down at the end of the period P ,00 Recorded 8473 Written back Acquisitions from third parties Cancelled owing to sales and disposals Transfers from one heading to another (+)/(-) 8513 Amounts written down at the end of the period Uncalled amounts at the end of the period (+)/(-) P ,00 Uncalled amounts at the end of the period NET BOOK VALUE AT THE END OF THE PERIOD OTHER ENTERPRISES - AMOUNTS RECEIVABLE (284) ,17 NET BOOK VALUE AT THE END OF THE PERIOD 285/8P ,45 Additions ,69 Repayments ,89 Amounts written down Amounts written back Exchange differences (+)/(-) 8623 Other...(+)/(-) 8633 NET BOOK VALUE AT THE END OF THE PERIOD ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS RECEIVABLE AT THE END OF THE PERIOD (285/8) ,25 20/50

21 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES List of both enterprises in wich the enterprise holds a participating interest (recorded in the heading 28 of assets) and other enterprises in which the enterprise holds rights (recorded in the headings 28 and 50/53 of assets) in the amount of at least 10% of the capital issued. NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa Asean Sdn. Bhd FC 31/12/2006 MYR Level 3, Menara Merais, Jalan 19/ Petaling Jaya Malaysia Capital and reserves (+) or (-) (in monetary units) Net result ,99 0,01 Agfa Graphics PLC 31/12/2007 EUR Prins Boudewijnlaan Kontich Belgium ,75 0,25 Agfa Corporation FC 31/12/2007 USD Challenger Road Ridgefield Park United States of America ,00 0,00 Agfa de Mexico SA de CV FC 31/12/2007 MXN Benjamin Franklin Sta. Clara Ecatepec Mexico ,80 0,00 Agfa HealthCare PLC 31/12/2007 EUR Battelsesteenweg Mechelen Belgium ,99 0,01 Agfa Finance PLC 31/12/2006 EUR Septestraat Mortsel Belgium ,00 1,00 Agfa Gevaert A.E.B.E. FC 31/12/2006 EUR Stylianou Gonata Athene Greece ,99 0,01 21/50

22 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa Gevaert Argentina S.A. FC 31/12/2006 ARS Venezuela Buenos Aires Argentina Capital and reserves (+) or (-) (in monetary units) Net result ,00 5,00 Agfa Gevaert A/S FC 31/12/2006 DKK Skovlytoften HOLTE Denmark ,00 0,00 Agfa Gevaert Chilena Ltd. FC 31/12/2006 CLP Avenida Santa Clara 684 Piso4 1 Santiago de Chile Chile ,99 0,01 Agfa Gevaert Colombië FC 31/12/2006 COP Avenida Calle 26 No. 68 B 1 Sante Fé de Bogota Colombia ,99 0,00 Agfa Gevaert de Venezuela S.A. FC 31/12/2006 VEB Av. Ppal. La Castellana Piso5 1060A Caracas Venezuela ,00 0,00 Agfa Gevaert do Brasil Ltda FC 31/12/2007 BRL Rua Alexandre Dumas Sao Paulo Brazil ,99 0,01 Agfa Gevaert GmbH. FC 31/12/2006 EUR Mariahilferstrasse Wenen Austria U inschr. 0 87,50 12,50 Agfa-Gevaert International Holding Sàrl FC Rue Guillaume Kroll Luxembourg Luxembourg 31/12/2007 EUR /50

23 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % ,00 0,00 Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa Gevaert Japan Ltd. FC 31/12/2006 JPY Higashiyama Tokyo Japan Capital and reserves (+) or (-) (in monetary units) Net result ,00 0,00 Agfa Gevaert Lda. FC 31/12/2006 EUR Quinta da Fonte, freguesia de Paço de 88 1 Linda-A-Velha Portugal inschr. 0 74,00 26,00 Agfa Gevaert Ltd. FC 31/12/2006 AUD Burwood Highway BURWOOD Australia ,99 0,01 Agfa Gevaert Ltd. FC 31/12/2006 GBP Great West Road 27 TW8 9AX Brentford United Kingdom ,99 0,01 Agfa-Gevaert NZ Ltd FC 31/12/2006 NZD 3 Argus Place P.O.Box GLENFIELD New Zealand ,00 0,00 Agfa Gevaert S.p.A FC 31/12/2006 EUR Via Grosio 10/ Milaan Italy ,00 0,00 Agfa Gevaert S.A. FC 31/12/2006 EUR avenue N. Bonaparte Rueil Malmaison France ,99 0,00 23/50

24 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa Gevaert S.A.U. FC 31/12/2006 EUR Calle Provenza Barcelona Spain Capital and reserves (+) or (-) (in monetary units) Net result ,00 0,00 Agfa HealthCare Enterpr.SolutionsSA FC 31/12/2006 EUR Avenue De L'Eglise Romane Artigues Pres Bordeaux France ,99 0,00 Agfa Hong Kong Ltd. FC 31/12/2006 HKD King's Road, Quarry Bay Hong Kong Hong Kong ,99 0,01 Agfa Materials GmbH FC 31/12/2007 EUR Im Mediapark Koln Germany ,00 0,00 Agfa Hungaria KFT FC 31/12/2006 HUF Kapas u Boedapest Hungary inschrijving 0 100,00 0,00 Agfa (Wuxi) Imaging Company Ltd FC 31/12/2006 CNY Erwan 1 1 Wuxi China inschrijving 0 48,08 51,08 Agfa India Pvt/Ltd FC 31/03/2006 IRR Kolshet Road THANE India ,99 0,00 Agfa Korea Ltd. FC 31/12/2006 KWD Chungmu-Ro 3-ka Seoul South Korea /50

25 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % ,00 0,00 Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa Ltd. FC 31/12/2006 EUR John F. Kennedy Drive 1 1 Dublin Ireland Capital and reserves (+) or (-) (in monetary units) Net result ,00 0,00 Agfa NDT France SA FC 31/12/2007 EUR chemin des Ormeaux Limonest France ,00 0,00 Agfa Materials UK Ltd FC 31/12/2006 GBP Pinwood Road 585 Buckinghamshire United Kingdom ,00 0,00 Agfa OOO Ltd FC 31/12/2006 RUB ul. Kantemirovskaya Moskou Russian Federation ,00 0,00 Agfa Pty FC 31/12/2006 ZAR Wrench Road Isando South Africa ,00 0,00 Agfa Singapore Pte Ltd FC 31/12/2006 SGD 10 Changi South Street SINGAPORE Singapore ,00 0,00 Agfa S.r.o FC 31/12/2006 CZK Litvinovska 609/ Praag Czech Republic Inschrijving 0 100,00 0,00 25/50

26 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa Taiwan Co Ltd. FC 31/12/2006 TWD 5/F 237 Sung Chiang Road Taipei Taiwan Capital and reserves (+) or (-) (in monetary units) Net result ,00 30,00 Agif PLC 31/12/2007 EUR Septestraat Mortsel Belgium ,75 0,25 Idoc PLC 30/09/2006 EUR Lloyd Georgelaan Brussel 1 Belgium ,33 0,00 Luithagen PLC 31/12/2007 EUR Septestraat Mortsel Belgium ,99 0,00 Medivision Medical Imaging Ltd. FC 31/12/2006 USD Hatamar Street Yokneam Elit Israel ,43 0,00 Mortselse Immobiliënvennootschap PLC 31/12/2007 EUR Antwerpsestraat Mortsel Belgium ,97 0,03 Smart Packaging Solutions SAS FC 31/12/2006 EUR Avenue Olivier Perroy ZI Rousset France ,00 0,00 Agfa Gevaert B.V. FC 31/12/2006 EUR Polakweg Rijswijk Netherlands B /50

27 Nr C INFORMATION RELATING TO THE SHARE IN THE CAPITAL SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES NAME, full address of the REGISTERED OFFICE and for the enterprise governed by Belgian law, the COMPANY NUMBER Shares held by directly Number % % ,99 0,00 Primary financial statement Information from the most recent period for which annual accounts are available subsidiaries Monetary unit Agfa HealthCare Corporation FC 31/12/2007 USD Challenger Road Ridgefield Park United States of America Capital and reserves (+) or (-) (in monetary units) Net result ,00 0,00 Agfa HealthCare International PLC 31/12/2007 EUR Septestraat Mortsel Belgium ,00 0,00 Agfa Materials Taiwan Co Lt FC 31/12/2007 TWD Sung Chiang Road 5/F, box Taipei Taiwan ,00 0,00 27/50

28 Nr C 5.7 STATEMENT OF CAPITAL AND STRUCTURE OF SHAREHOLDINGS STATEMENT OF CAPITAL Social capital Issued capital at the end of the period... Issued capital at the end of the period... Codes Period Previous period 100P XXXXXXXXXXXXXX ,00 (100) ,00 Changes during the period: Codes Amounts Number of shares Structure of the capital Different categories of shares Kapitaalaandelen , Registered.. Bearer XXXXXXXXXXXXXX XXXXXXXXXXXXXX Capital not paid Codes Uncalled capital Capital called, but not paid Uncalled capital (101) XXXXXXXXXXXXXX Capital called, but not paid XXXXXXXXXXXXXX Shareholders having yet to pay up in full Codes Period OWN SHARES Held by the company itself Amount of capital held Number of shares held Held by the subsidiaries Amount of capital held Number of shares held Commitments to issue shares Following the exercising of CONVERSION RIGHTS Amount of outstanding convertible loans.... Amount of capital to be subscribed Corresponding maximum number of shares to be issued.. Following the exercising of SUBSCRIPTION RIGHTS Number of outstanding subscription rights.... Amount of capital to be subscribed Corresponding maximum number of shares to be issued.... Authorized capital, not issued , ,00 28/50

29 Nr C 5.7 Codes Period Shared issued, not representing capital Distribution Number of shares held.... Number of voting rights attached thereto.... Allocation by shareholder Number of shares held by the company itself.... Number of shares held by its subsidairies STRUCTURE OF SHAREHOLDINGS OF THE ENTERPRISE AS AT THE ANNUAL BALANCING OF THE BOOKS, AS IT APPEARS FROM THE STATEMENT RECEIVED BY THE ENTERPRISE 29/50

30 Nr C 5.8 PROVISIONS FOR OTHER LIABILITIES AND CHARGES ALLOCATION OF THE HEADING 163/5 OF LIABILITIES IF THE AMOUNT IS CONSIDERABLE Period Voorziening afgekeurd gereed product ,88 Voorziening Emissierechten ,00 Voorziening bijpassing ex-agfa medewerkers ,80 Voorziening Bodemsanering ,07 30/50

31 Nr C 5.9 STATEMENT OF AMOUNTS PAYABLE, ACCRUED CHARGES AND DEFERRED INCOME ANALYSIS BY CURRENT PORTIONS OF AMOUNTS INITIALLY PAYABLE AFTER MORE THAN ONE YEAR Amounts payable after more than one year, not more than one year Codes Period Financial debts... Subordinated loans... Unsubordinated debentures... Leasing and other similar obligations... Credit institutions. Other loans... Trade debts.... Suppliers.. Bills of exchange payable... Advance payments received on contracts in progress... Other amounts payable... Total amounts payable after more than one year, not more than one year Amounts payable after more than one year, between one and five years. Financial debts... Subordinated loans... Unsubordinated debentures... Leasing and other similar obligations... Credit institutions. Other loans... Trade debts.... Suppliers.. Bills of exchange payable... Advance payments received on contracts in progress... Other amounts payable (42) , ,00 Total amounts payable after more than one year, between one and five years Amounts payable after more than one year, over five years Financial debts... Subordinated loans... Unsubordinated debentures... Leasing and other similar obligations... Credit institutions. Other loans... Trade debts.... Suppliers.. Bills of exchange payable... Advance payments received on contracts in progress... Other amounts payable... Total amounts payable after more than one year, over five years , , , ,00 31/50

32 Nr C 5.9 AMOUNTS PAYABLE GUARANTEED (headings 17 and 42/48 of liabilities) Codes Period Amounts payable guaranteed by Belgian public authorities Financial debts... Subordinated loans... Unsubordinated debentures... Leasing and other similar obligations... Credit institutions. Other loans... Trade debts.... Suppliers.. Bills of exchange payable... Advance payments received on contracts in progress... Taxes, remuneration and social security Other amounts payable... Total amounts payable guaranteed by Belgian public authorities. Amounts payable guaranteed by real guarantees given or irrevocably promised by the enterprise on its own assets Financial debts... Subordinated loans... Unsubordinated debentures... Leasing and other similar obligations... Credit institutions. Other loans... Trade debts Suppliers.. Bills of exchange payable Advance payments received on contracts in progress Taxes, remuneration and social security 9022 Taxes 9032 Remuneration and social security Other amounts payable Total amounts payable guaranteed by real guarantees given or irrevocably promised by the enterprise on its own assetṡ.... AMOUNTS PAYABLE FOR TAXES, REMUNERATION AND SOCIAL SECURITY 9062 Taxes (heading 450/3 of the liabilities) Expired taxes payable... Non expired taxes payable Estimated taxes payable... Remuneration and social security (heading 454/9 of the liabilities) Amount due to the National Office of Social Security... Other amounts payable relating to remuneration and social security , , ,57 32/50

33 Nr C 5.9 ACCRUED CHARGES AND DEFERRED INCOME Period Allocation of the heading 492/3 of liabilities if the amount is considerable Voorziening uitbetaling Ciné ,13 Proratering intresten ,92 33/50

34 Nr C 5.10 OPERATING RESULTS Codes Period Previous period OPERATING INCOME Net turnover Broken down by categories of activity Allocation into geographical markets Other operating income Total amount of subsidies and compensatory amounts obtained from public authorities , ,61 OPERATING COSTS Employees recorded in the personnel register Total number at the closing date Average number of employees calculated in full-time equivalents , ,6 Number of actual worked hours Personnel costs Remuneration and direct social benefits , ,24 Employers' social security contributions , ,23 Employers' premiums for extra statutory insurances ,43 Other personnel costs , ,10 Pensions , ,58 Provisions for pensions Additions (uses and write-back)... (+)/(-) , ,91 Amounts written off Stocks and contracts in progress Recorded Written back Trade debtors Recorded ,73 Written back ,80 Provisions for risks and charges Additions , ,86 Uses and write-back , ,66 Other operating charges Taxes related to operation , ,32 Other charges / , ,77 Hired temporary staff and persons placed at the enterprise's disposal Total number at the closing date Average number calculated as full-time equivalents ,4 Number of actual worked hours Charges to the enterprise ,00 34/50

35 Nr C 5.11 FINANCIAL AND EXTRAORDINARY RESULTS FINANCIAL RESULTS Other financial income Amount of subsidies granted by public authorities, credited to income for the period Capital subsidies... Interest subsidies... Codes Period Previous period , , Allocation of other financial income * Niet gerealiseerde koerswinsten , ,78 * Gerealiseerde koerswinsten , ,77 Amounts written down off loan issue expenses and repayment premiums Interests recorded as assets... Value adjustments to current assets Appropriations... Write-backs , , , ,88 Other financial charges Amount of the discount borne by the enterprise, as a result of negotiating amounts receivable Provisions of a financial nature Appropriations... Uses and write-backs Allocation of other financial income * Niet gerealiseerde koersverliezen , ,01 * Gerealiseerde koersverliezen , ,14 EXTRAORDINARY RESULTS Allocation other extraordinary income Period Allocation other extraordinary charges 35/50

36 Nr C 5.12 INCOME TAXES AND OTHER TAXES INCOME TAXE Income taxes on the result of the current period Income taxes paid and withholding taxes due or paid... Excess of income tax prepayments and withholding taxes recorded under assets... Estimated additional taxes Income taxes on previous periods Taxes and withholding taxes due or paid Estimated additional taxes estimated or provided for In so far as income taxes of the current period are materially affected by differences between the profit before taxes, as stated in the annual accounts, and the estimated taxable profit Codes Period , ,16 An indication of the effect of extraordinary results on the amount of income taxes relating to the current period Codes Status of deferred taxes Deferred taxes representing assets Accumulated tax losses deductible from future taxable profits Period Other deferred taxes representing assets Deferred taxes representing liabilities... Allocation of deferred taxes representing liabilities 9144 Codes Period Previous Period THE TOTAL AMOUNT OF VALUE ADDED TAX AND TAXES BORNE BY THIRD PARTIES The total amount of value added tax charged To the enterprise (deductible) , ,80 By the enterprise , ,34 Amounts retained on behalf of third parties for Payroll withholding taxes... Withholding taxes on investment income , , , ,60 36/50

37 Nr C 5.13 RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET PERSONAL GUARANTEES GIVEN OR IRREVOCABLY PROMISED BY THE ENTERPRISE AS SECURITY FOR DEBTS AND COMMITMENTS OF THIRD PARTIES Of which Bills of exchange in circulation endorsed by the enterprise... Bills of exchange in circulation drawn or guaranteed by the enterprise Maximum amount for which other debts or commitments of third parties are guaranteed by the enterprise Code Period , ,44 REAL GUARANTEES Real guarantees given or irrevocably promised by the enterprise on its own assets as a security of debts and commitments from the enterprise Mortgages Book value of the immovable proporties mortgaged... Amount of registration.. Pledging on goodwill - amount of registration... Pledging of other assets - Book value of other assets pledged... Guarantees provided on future assets - Amount of assets involved Real guarantees given or irrevocably promised by the enterprise on its own assets as a security of debts and commitments from third parties Mortgages Book value of the immovable proporties mortgaged... Amount of registration.. Pledging on goodwill - amount of registration... Pledging of other assets - Book value of other assets pledged... Guarantees provided on future assets - Amount of assets involved GOODS AND VALUES, NOT DISCLOSED IN THE BALANCE SHEET, HELD BY THIRD PARTIES IN THEIR OWN NAME BUT AT RISK TO AND FOR THE BENEFIT OF THE ENTERPRISE SUBSTANCIAL COMMITMENTS TO ACQUIRE FIXED ASSETS Verbintenissen ,00 SUBSTANCIAL COMMITMENTS TO DISPOSE FIXED ASSETS FORWARD TRANSACTIONS Goods purchased (to be received)... Goods sold (to be delivered)... Currencies purchased (to be received).... Currencies sold (to be delivered) , ,48 INFORMATION RELATING TO TECHNICAL GUARANTEES, IN RESPECT OF SALES OR SERVICES INFORMATION CONCERNING IMPORTANT LITIGATION AND OTHER COMMITMENTS NOT MENTIONED ABOVE IF THEREIS A SUPPLEMENTARY RETIREMENTS OR SURVIVOR'S PENSION PLAN IN FAVOUR OF THE PERSONNEL OR THE EXECUTIVES OF THE ENTERPRISE, A BRIEF DESCRIPTION OF SUCH PLAN OF THE MEASURES TAKEN BY THE ENTERPRISE TO COVER THE RESULTING CHARGES Aan alle personeelsleden wordt na hun opruststelling een bijkomend pensioen gegarandeerd. De kosten die uit deze regeling voortvloeien, worden op actuariële 37/50

38 Nr C 5.13 RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET IF THEREIS A SUPPLEMENTARY RETIREMENTS OR SURVIVOR'S PENSION PLAN IN FAVOUR OF THE PERSONNEL OR THE EXECUTIVES OF THE ENTERPRISE, A BRIEF DESCRIPTION OF SUCH PLAN OF THE MEASURES TAKEN BY THE ENTERPRISE TO COVER THE RESULTING CHARGES basis berekend. Op het einde van het boekjaar waren alle premies betaald tot dekking van deze verplichting voor alle in dienst zijnde en reeds oprustgestelde werknemers. Code Period PENSIONS FUNDED BY THE ENTERPRISE Estimated amount of the commitments resulting for the enterprise from past services Methods of estimation /50

39 Nr C 5.14 RELATIONSHIPS WITH AFFILIATED ENTERPRISES AND ENTERPRISES LINKED BY PARTICIPATING INTERESTS AFFILIATED ENTERPRISES Financial fixed assets.... Investments.. Amounts receivable subordinated.. Other amounts receivable... Codes Period Previous period (280/1) , ,85 (280) , , ,00 Amounts receivable After one year , , , ,92 Within one year... Current investments.... Shares , ,00 Amounts receivable Amounts payable After one year , ,79 Within one year , ,79 Personal and real guarantees Provided or irrevocably promised by the enterprise, as security for debts or commitments of affiliated enterprises ,42 Provided or irrevocably promised by affiliated enterprises as security for debts or commitments of the enterprise Other substancial financial commitments.... Financial results 9401 Income from financial fixed assets Income from financial fixed assets Other financial income Debts charges Other financial charges..... Gains and losses on disposal of fixed assets , , , , , ,77 Obtained capital gains Obtained capital losses ENTERPRISES LINKED BY PARTICIPATING INTERESTS Financial fixed assets.. Investments.. Amounts receivable subordinated.. Other amounts receivable... Amounts receivable After one year... Within one year... Amounts payable... After one year... Within one year... (282/3) (282) , , , ,00 39/50

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