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Consolidated statement of cash flows

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EUR 1,000 Jan 1 - Dec 31, 2022 Jan 1 - Dec 31, 2021
OPERATING CASH FLOW    
Cash receipts from customers 341,201 287,564
Operating expenses paid -306,220 -253,056
Operating cash flow before financial items and taxes 34,981 34,508
     
Interest and payment paid for financial expenses -1,721 -1,289
Interest received 113 80
Income taxes paid -5,277 -6,205
Operating cash flow (A) 28,095 27,093
     
INVESTING CASH FLOW    
Purchase of tangible and intangible assets  -1,711 -2,157
Acquisition of subsidiaries, net of cash acquired  -20,871 -14,255
Proceeds from sale of tangible and intangible assets 52 17
Proceeds from repayment of loans 0 73
Investing cash flow (B) -25,526 -16,321
     
Cash flow after investments (A+B) 2,570 10,772
     
FINANCING CASH FLOW    
Proceeds from directed share issue 0 1,936
Purchase of own shares 0 -1,382
Issue of new current loans 13,144 6,941
Repayments of current loans -32,534 -30,060
Issue of new non-current loans 27,999 37,503
Repayments of non-current loans -16 -6
Payment of lease liabilities -12,657 -11,478
Dividend paid -9,970 -8,461
Financing cash flow (C) -14,034 -5,007
     
Variation in cash (A+B+C) increase (+) / decrease (-) -11,464 5,765
     
Assets at the beginning of the financial period 30,356 24,407
Exchange gains or losses on cash and cash equivalents 672 184
Assets at the end of the financial period 19,564 30,356

 

The notes are an integral part of the Financial Statements.

 

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