Ceres Power Holdings plc reported trading results for the six months ended December 31, 2016. The rapid commercial development of the Company has translated to a significant jump in revenue. Total contract order book as at 31 December 2016 was £4.8 million, reflecting Ceres Power's development partnerships, while revenue and other operating income grew to £1.5 million for the half year, a threefold increase over the same period last year. The company will provide further update at the half yearly results in March. Following the successful raise in October 2016 the Company's cash position at 31 December is expected to be c. £22 million. The Company's equity free cash outflow for the half year is expected to be £4.2 million (compared to £5.4 million cash outflow for the first half last year).