XML 27 R3.htm IDEA: XBRL DOCUMENT v3.26.1
Consolidated Statements of Profit or Loss and Comprehensive Income (Loss) - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Continuing operations      
Revenue € 31,559 € 110,013 € 107,384
Cost of sales (47,842) (90,585) (110,270)
Gross profit (loss) (16,283) 19,427 (2,886)
Research and development expenses (8,488) (8,971) (2,832)
Selling and general administrative expenses (32,797) (31,588) (27,823)
Impairment gains (losses) on trade receivables, contract assets, and other investments (55) (58) 104
Other income 2,264 14,530 667
Other expenses (1,334) (1,949) (11,755)
Operating result (56,694) (8,609) (44,525)
Finance income 60,788 24 190
Finance expenses (59,542) (88,883) (13,887)
Net finance result 1,246 (88,858) (13,697)
Result before tax (55,447) (97,467) (58,221)
Income tax benefits (expenses) 257 (491) 3,141
Result for the period (55,190) (97,958) (55,081)
Items that are or may be reclassified subsequently to profit or loss      
Foreign operations – foreign currency translation differences (432) 939 61
Other comprehensive income (loss) for the period, net of tax (432) 939 61
Total comprehensive income (loss) for the period (55,621) (97,019) (55,020)
Profit (loss) attributable to:      
Shareholders of the parent (55,190) (97,958) (55,081)
Non-controlling interests
Total comprehensive income (loss) attributable to:      
Shareholders of the parent (55,621) (97,019) (55,020)
Non-controlling interests
Earnings (loss) per share (in EUR) (in Euro per share)
Diluted (in Euro per share and Dollars per share) (0.98) (1.91) (1.13)
Basic (in Euro per share and Dollars per share) € (0.98) € (1.91) € (1.13)