Dec 22 | Sep 22 | Jun 22 | Mar 22 | Dec 21 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | € 49.45M | € 24.59M | € 22.61M | € 29.52M | € 63.52M |
Gross Profit | € 29.97M | € 20.64M | € 16.47M | € 28.27M | € 29.49M |
EBIT | € 9.92M | € -1.44M | € 11.32M | € 15.91M | € 13.12M |
EBITDA | € 17.69M | € 6.64M | € 18.16M | € 22.44M | € 19.48M |
Net Income Common Stockholders | € 8.26M | € -3.74M | € 329.00K | € 10.05M | € 33.63M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | € 121.58M | € 115.65M | € 160.66M | € 168.13M | € 149.63M |
Total Assets | € 920.34M | € 894.59M | € 882.79M | € 856.09M | € 827.00M |
Total Debt | € 569.97M | € 0.00 | € 0.00 | € 0.00 | € 511.86M |
Net Debt | € 448.39M | € -115.65M | € -160.66M | € -168.13M | € 362.23M |
Total Liabilities | € 688.18M | € 671.88M | € 657.30M | € 624.08M | € 605.21M |
Stockholders Equity | € 237.75M | € 230.58M | € 233.11M | € 239.38M | € 229.18M |
Cash Flow | - | ||||
Free Cash Flow | € -11.75M | € -42.33M | € -46.31M | € -4.26M | € 35.88M |
Operating Cash Flow | € 4.73M | € -15.30M | € 3.11M | € -1.55M | € 119.69M |
Investing Cash Flow | € -18.70M | € -27.07M | € -49.39M | € -2.92M | € -57.82M |
Financing Cash Flow | € 20.05M | € -2.63M | € 38.80M | € 22.98M | € 15.15M |