Company

Key Figures


20202019 Change %
Net sales, continued operations, TEUR
70 04050 73738,0 %
EBITDA, continued operations, TEUR
3 7501 590135,8 %
Operating result , continued operations, TEUR
-2 034-1 66322,3 %
Operating result, continued operations, %
-2,9 %-3,3 %-11,4 %
Result after financial items, continued operations, TEUR
-3 489-2 05170,1 %
Net result , continued operations, TEUR
-3 175-2 06353,9 %
Net result, including discontinued operations, TEUR
-94914 570-106,5 %
Basic earnings per share*, EUR
-0,203,01-106,5 %
Diluted earnings per share*, EUR
-0,202,96-106,5 %
Cash flow from operating activities, continued operations, TEUR
6 3554 05056,9 %
Interest-bearing net debt**, TEUR
-2 5848 721-129,6 %
Net gearing, %
-10,854,9-119,7 %
Return on equity, %
-5,883,0-107,0 %
Return on investment, %
0,73,2-79,3 %
Equity ratio, %
37,329,427,0 %
Gross investments incl. lease liabilities, continued operations, TEUR
5 1342 84980,2 %
Group’s restructing debt
10 69412 268-12.8 %
Number of personnel at the end of the period, incl. leased workers, continued operations
574617-7,0 %
Average number of personnel during the period, incl. leased workers, continued operations
58950815,9 %
Order book at the end of the review period, continued operations, TEUR
9 5369 00015,9 %

* The comparable figures for 2019 have been adjusted due to reverse share split.
** Only interest-bearing restructuring debt included.