Filings/EBUS/ANNUAL

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KPIsSections3
Headline metrics
RevenueGREEN€10.7M-89.6% YoY
Net incomeGREEN-€200.6M-68.4% YoY
Net marginGREEN-1881.2%
Operating marginGREEN-1841.4%
Red flags3 red1 orange
Liquidity4
RED
Negative operating cash flowoperating_cf_burn
The company is burning cash from operations — sustainability depends on financing.
RED
Net margin -1881.2%net_margin_sharply_negative
Net income margin below -5% — profitability materially negative vs revenue.
RED
Cash runway ~0.1 yearscash_runway_low
At current burn rate, cash covers less than 2 years — may require near-term financing.
ORANGE
Accumulated deficit / equity 1369%accumulated_deficit_high
Accumulated deficit exceeds equity book value — balance sheet technically impaired.
Income Statement
Income Statement
MetricValueFlag
Revenue€10.7MGREEN
Operating Margin-1841.4%GREEN
Net Margin-1881.2%GREEN
Operating Income-€196.4MGREEN
Net Income-€200.6MGREEN
EBITDA-€132.6MGREEN
Income Tax Expense€198,000GREEN
Pre-tax Income-€200.6MGREEN
EPS Diluted€-10.79GREEN
Interest Expense€3.0MGREEN
Other Operating Expense/(Income)€55.5MGREEN
Net Interest Exp-€3.0MGREEN
Basic EPS-€10.79GREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total Assets€180.1MGREEN
Current Assets€137.0MGREEN
Current Liabilities€131.0MGREEN
Total Liabilities€152.6MGREEN
Total Equity€27.5MGREEN
Noncontrolling Interest€0GREEN
Retained Earnings-€376.6MGREEN
Cash & Equivalents€2.4MGREEN
Short-term Debt€5.4MGREEN
Deferred Revenue (Current)€44.4MGREEN
Trade Receivables€5.5MGREEN
Inventory€117.7MGREEN
Other Current Assets€3.9MGREEN
Gross Property, Plant & Equipment€11.7MGREEN
Total Intangibles€5.4MGREEN
Current Portion of Capital Leases€4.3MGREEN
Other Current Liabilities€22.9MGREEN
Capital Leases€19.9MGREEN
Other Non-Current Liabilities€1.5MGREEN
Common Stock€3.3MGREEN
Additional Paid In Capital€388.9MGREEN
Comprehensive Income and Other€11.9MGREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash Flow-€43.2MGREEN
Capital Expenditures€14.5MGREEN
Investing Cash Flow-€16.9MGREEN
Depreciation & Amortization€63.7MGREEN
Free Cash Flow-€57.6MGREEN
Financing Cash Flow€34.6MGREEN
Change in Inventories-€11.1MGREEN
Cash Acquisitions€1.6MGREEN
Sale (Purchase) of Investments€20,000GREEN
Long Term Debt Issued€5.4MGREEN
Long Term Debt Repaid€1.3MGREEN
Foreign Exchange Rate Effect€2,000GREEN
Cash Interest Paid€2.1MGREEN

Sections in this filing

IFRS Compliance

The consolidated financial stat ements of the Group have been prepared in accordance with IFRS accounting The financial statements were signed and authorized for issuance by the Supervisory Board and Management