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Financial statements

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Consolidated statement of cash flows

All amounts in € thousands

  

2023

 

2022

Cash flow from operating activities

    

Net result

(2,247)

 

5,428

 

Adjustments for:

    

Depreciations

1,549

 

1,388

 

Result from investments in associates

897

 

(232)

 

Interest income and expenses

(880)

 

27

 

Movement in deferred tax assets and liabilities

(356)

 

(39)

 

Movement in current assets

(570)

 

436

 

Movement in liabilities

(5,372)

 

(2,268)

 
  

(6,979)

 

4,740

Interest paid

880

 

(27)

 

Cash flow from operating activities

 

(6,099)

 

4,713

     

Cash flow from investment activities

    

Investments in tangible fixed assets

(298)

 

(210)

 

Investments in intangible fixed assets

(255)

 

(658)

 

Investments in associates

-

 

-

 

Dividends received

377

 

413

 

Cash flow from investment activities

 

(176)

 

(455)

     

Cash flow from financing activities

    

Dividends paid

-

 

(6,000)

 

Cash flow from financing activities

 

-

 

(6,000)

     

Net cash flow

 

(6,275)

 

(1,742)

     

Cash and cash equivalents as at 1 January

 

36,030

 

37,772

Increase/(decrease) in cash and cash equivalents

 

(6,275)

 

(1,742)

Cash and cash equivalents as at 31 December

 

29,755

 

36,030