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Consolidated Statement of Profit and Loss and Other Comprehensive Income - EUR (€)
€ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Consolidated Statement of Profit and Loss and Other Comprehensive Income      
Revenue € 108,622 € 106,424 € 60,938
Cost of sales (59,858) (49,537) (38,879)
Gross profit 48,764 56,887 22,059
Other operating income and expenses 137    
Administrative expenses (34,458) (15,696) (10,925)
Operating profit 14,443 41,191 11,134
Finance income 1,541 4,031 1,795
Finance costs (4,486) (9,681) (5,491)
Profit before income tax 11,498 35,541 7,438
Income tax credit/expense     13
Profit for the period 11,498 35,541 7,451
Profit for the period attributable to:      
Profit for the period € 11,498 € 35,541 € 7,451
Earnings per share      
Basic, profit/loss for the period attributable to ordinary equity holders of the parent (EUR per share) € 0.06 € 0.22 € 0.06
Diluted, profit/loss for the period attributable to ordinary equity holders of the parent (EUR per share) € 0.06 € 0.22 € 0.06
Items that may be reclassified to profit or loss      
Exchange differences on translation of foreign operations € (6,724)    
Cash flow hedges - changes in fair value (18,505) € 905  
Cash flow hedges - interest recycled (776) 438  
Cash flow hedges - cost of hedging (3,621)    
Other comprehensive income after tax (29,626) 1,343  
Total comprehensive income for the period, net of tax (18,128) 36,884 € 7,451
Total comprehensive income attributable to:      
Total comprehensive income for the period, net of tax € (18,128) € 36,884 € 7,451