Interim consolidated statement of cash flows

1 January – 30 June (unaudited)

kEUR

H1 2026

H1 2025

 

 

 

Cash flow from operating activities

 

 

Result for the period

9,081

-26,539

 

 

 

Adjustments to reconcile cash generated by operating activities

 

 

Depreciation, amortization and impairment

27,112

18,157

Movement in provisions

1,096

36

Movement in pensions

-484

-247

Share-based payment expense

2,004

961

Financial income

-3,416

-492

Financial expenses

11,235

17,823

Income tax expense / (income)

5,079

-4,515

 

 

 

Changes in net working capital

 

 

(Increase) / decrease in inventories

-9,118

-15,145

(Increase) / decrease in trade receivables

-25,956

24,484

(Increase) / decrease in contract assets

219

836

(Increase) / decrease in other current assets

-1,326

-989

Increase / (decrease) in trade payables

1,651

1,076

Increase / (decrease) in contract liabilities

11,173

27,720

Increase / (decrease) in other current liabilities

3,858

9,165

Cash generated from operations

32,208

52,331

 

 

 

Interest income received

945

475

Interest expenses paid

-6,314

-3,459

Income taxes paid

-1,620

309

Net cash flows from operating activities

25,219

49,656

 

 

 

Cash flow from investing activities

 

 

Acquisition of intangible assets

-603

-457

Acquisition of property, plant and equipment

-43,718

-48,683

Investments in other financial assets

-1,527

-1,671

Net cash flows from investing activities

-45,848

-50,811

Interim consolidated statement of cash flows (continued)

1 January – 30 June (unaudited)

kEUR

H1 2026

H1 2025

 

 

 

Cash flow from financing activities

 

 

Purchase of own shares

-484

Net proceeds from long-term borrowings from banks

10,000

20,000

Repayment of short-term borrowings from Draupnir Holding B.V.

-10,000

Repayment of lease liabilities

-2,396

-1,330

Repayment of other financial liabilities

-417

-1,016

Net cash flow from financing activities

7,187

7,170

Net movement in cash and cash equivalents

-13,442

6,015

 

 

 

Cash and cash equivalents at the beginning of the period

74,589

68,277

Net foreign currency exchange differences

-2,116

2,403

Cash and cash equivalents at the end of the period

59,031

76,695