Dec 22 | Sep 22 | Jun 22 | Mar 22 | Dec 21 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | € 46.63M | € 43.13M | € 42.02M | € 41.24M | € 38.87M |
Gross Profit | € -5.35M | € 7.25M | € 6.93M | € 5.83M | € -3.95M |
EBIT | € -24.03M | € -2.77M | € -2.81M | € -3.44M | € -4.01M |
EBITDA | € -14.49M | € 1.54M | € 1.37M | € 667.00K | € -183.00K |
Net Income Common Stockholders | € -23.41M | € -3.24M | € -3.22M | € -3.56M | € -4.16M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | € 36.39M | € 42.97M | € 44.74M | € 47.69M | € 56.70M |
Total Assets | € 161.06M | € 180.50M | € 188.13M | € 192.54M | € 200.30M |
Total Debt | € 8.25M | € 7.00M | € 7.58M | € 8.71M | € 14.19M |
Net Debt | € -28.14M | € -35.97M | € -37.16M | € -38.98M | € -42.51M |
Total Liabilities | € 45.41M | € 42.54M | € 47.37M | € 48.69M | € 52.93M |
Stockholders Equity | € 115.14M | € 137.17M | € 140.29M | € 143.51M | € 147.07M |
Cash Flow | - | ||||
Free Cash Flow | € -3.10M | € -500.00K | € -630.00K | € -553.00K | € -1.24M |
Operating Cash Flow | € -175.00K | € -281.00K | € -423.00K | € -379.00K | € 1.23M |
Investing Cash Flow | € -5.08M | € -219.00K | € -1.29M | € -7.39M | € 28.53M |
Financing Cash Flow | € -1.32M | € -1.27M | € -1.24M | € -1.24M | € -1.09M |