Parent Company’s Financial Statements

Parent company’s profit and loss account

1000 €20222021
NET SALES112 67671 999
Change in inventory of finished goods704182
Work performed for own use1939
Other operating income3 2232 085
Raw materials and services
Raw materials and consumables
Purchases during the financial year-64 776-35 251
Change in stocks6 0741 399
Total raw materials and services-58 701-33 852
Personnel expenses
Wages and salaries-16 423-15 260
Social security expenses
Pension expenses-3 302-2 741
Other social security expenses-741-566
Total personnel expenses-20 466-18 567
Depreciation, amortisation and writedowns
Depreciation according to plan-3 344-3 148
Other operating expenses-20 524-15 402
OPERATING PROFIT13 5863 336
Financial income and expenses
Other interest income and other financial
income
Group company2 9793 880
Others21132
Total financial income3 0004 012
Other interest income and other financial
expenses
Group company-270
Others-765-794
Total financial expenses-792-794
PROFIT BEFORE APPROPRIATIONS
AND TAXES
15 7946 553
Appropriations
Change in accumulated depreciation
difference
-308135
Group contribution1 3941 745
Total appropriations1 0861 880
Income taxes-2 834-945
PROFIT FOR THE FINANCIAL YEAR14 0467 489

Parent company’s balance sheet

Assets

Non-current assets
1000 €20222021
Intangible assets
Intangible rights3 8792 530
Total intangible assets3 8792 530
Tangible assets
Land and water1 3931 221
Buildings and constructions13 01313 750
Machinery and equipment6 3596 179
Other tangible assets3457
Advance payments and construction in
progress
6 7155 147
Total tangible assets27 51326 354
Investments
Holdings in group companies24 94024 699
Loans owed by group companies243238
Other loans receivable7781
Shares287287
Total investments25 54725 304
TOTAL NON-CURRENT ASSETS56 93954 188
Current assets
1000 €20222021
Stocks
Raw materials and consumables10 1975 468
Finished products3 1492 445
Other stocks4 0052 662
Advances paid1711 179
Total stocks17 52311 753
Receivables
Trade receivables16 5958 857
Amounts owed by group companies14 98012 308
Loans receivable5033
Other receivables10528
Accrued income and prepayments88283
Total receivables31 81921 509
Financial securities
Cash in hand and cash at banks4 5845 500
TOTAL CURRENT ASSETS53 92538 762
TOTAL ASSETS110 86492 950

Equity and liabilities

Equity
1000 €20222021
Share capital3 1493 149
Share issue0176
Reserve for invested unrestricted equity1 5011 324
Disposition fund28 57624 510
Result for the reporting period14 0467 489
TOTAL EQUITY47 27136 649
Accumulated depreciation difference8 3498 041
Liabilities
1000 €20222021
Non-current liabilities
Loans from credit institutions16 42617 723
Other long-term liabilities2 0502 133
Total non-current liabilities18 47619 856
Current liabilities
Loans from credit institutions5 0674 763
Advances received1 1334 619
Trade payables10 2818 741
Amounts owed to group undertakings12 3634 666
Other payables1 9161 970
Accrued expenses6 0083 646
Total current liabilities36 76728 405
TOTAL LIABILITIES55 24448 261
TOTAL EQUITY AND LIABILITIES110 86492 950

Parent company’s statement of cash flows

1000 €20222021
Cash flow from operating activities
Operating profit13 5863 336
Adjustments to operating profit3 2262 824
Changes in working capital*-14 828-726
Interest paid-674-461
Interest received8873
Dividends received44
Other financial items0-5
Income taxes paid-1 088-847
Net cash generated from operating activities3154 198
Cash flow from investing activities
Investments in tangible and intangible assets-5 781-3 776
Group undertakings repayments of loans4 685-1 910
Interest received00
Investments in subsidiaries-271-3 045
Repayments of loans-18115
Net cash used in investing activities-1 386-8 615
Cash flow from financing activities
Proceeds from short-term borrowings30439
Repayments of short-term borrowings0-46
Proceeds from long-term borrowings2 000196
Repayment of long-term borrowings-3 379-2 403
Dividends paid-3 423-3 219
Share issue0176
Paid-up increase in equity0-98
Dividens from group undertakings2 9083 812
Received group contribution paid1 7451 785
Net cash used in financing activities154242
CHANGE IN CASH AND CASH EQUIVALENTS-916-4 175
Cash and cash equivalents at the beginning
of the period
5 5009 675
Change during the period-916-4 175
Cash and cash equivalents at the end of the period4 5845 500
* Whereof the change in cashpool amount to7 021-4 047