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Interim Condensed Consolidated Statements of Changes in Shareholders' Equity - EUR (€)
Issued capital
Capital reserve
Treasury Shares
Accumulated deficit
Currency translation reserve
Total
Balance at the beginning at Dec. 31, 2020 € 21,655,000 € 1,334,704,000   € (645,069,000) € 57,000 € 711,347,000
Net loss       (409,780,000)   (409,780,000)
Other comprehensive income (loss)         (62,000) (62,000)
Total comprehensive income (loss)       (409,780,000) (62,000) (409,842,000)
Share-based payments (net of taxes)   12,965,000       12,965,000
Issuance of share capital (net of transaction costs) 690,000 403,372,000       404,062,000
Exercise of options 101,000 2,422,000       2,523,000
Repurchase of common shares   (25,550,000) € (211,000)     (25,761,000)
Balance at the end at Sep. 30, 2021 22,446,000 1,727,913,000 (211,000) (1,054,849,000) (5,000) 695,294,000
Balance at the beginning at Dec. 31, 2021 22,454,000 1,728,658,000 (5,817,000) (1,056,785,000) (34,000) 688,476,000
Net loss       (120,245,000)   (120,245,000)
Other comprehensive income (loss)         (364,000) (364,000)
Total comprehensive income (loss)       (120,245,000) (364,000) (120,609,000)
Share-based payments (net of taxes)   5,372,000       5,372,000
Issuance of share capital (net of transaction costs) 378,000 31,948,000       32,326,000
Exercise of options 2,000 (358,000)       (356,000)
Settlement of share-based payment awards   (3,093,000) 4,083,000     990,000
Capital Increase from Business Combinations   18,789,000       18,789,000
Balance at the end at Sep. 30, 2022 € 22,834,000 € 1,781,316,000 € (1,734,000) € (1,177,030,000) € (398,000) € 624,988,000