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InVision AG

Interim / Quarterly Report May 6, 2021

230_10-q_2021-05-06_1837685d-d368-4480-aeee-fdfa6db4d700.pdf

Interim / Quarterly Report

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Consolidated Interim Statements 3M 2021

Consolidated Interim Financial Statements

of InVision AG as of 31 March 2021

Consolidated Balance Sheet

Consolidated Statement of Comprehensive Income

Consolidated Cash Flow Statement

Consolidated Statement of Equity

Financial Summary

(in TEUR) 3M 2021 3M 2020 ∆*
Revenues 3,347 3,114 +7%
EBIT 173 239 -28%
as a % of revenues 5% 8% -3 PP
Consolidated result 17 33 -48%
as a % of revenues 0% 1% -1 PP
Operating cash flow 1,969 1,747 +13%
as a % of revenues 59% 56% +3 PP
Earnings per share (in EUR) -0.01 0.01 -200%
(in TEUR) 31 March 2021 31 Dec 2020 ∆*
Balance sheet total 24,576 22,398 +10%
Liquid funds 9,443 7,791 +21%
Equity 13,430 13,413 +0%
as a % of balance sheet total 55% 60% -5 PP

* The calculation of deviations from the previous year is based on non-rounded figures.

Consolidated Balance Sheet

Assets 31 Mar 2021 31 Dec 2020
A. Short-term assets
1. Liquid funds 9,442,842 7,790,641
2. Trade receivables 1,751,130 995,322
3. Income tax claims 367,017 366,610
4. Prepaid expenses and other short-term
assets
280,213 240,234
Total short-term assets 11,841,202 9,392,807
B. Long-term assets
1. Intangible assets 245,747 246,875
2. Tangible assets 8,522,136 8,572,758
3. Right-of-use assets 1,337,003 1,384,078
4. Deferred taxes 2,621,371 2,793,644
5. Other long-term assets 8,670 8,229
Total long-term assets 12,734,927 13,005,584
Total assets 24,576,129 22,398,391
Equity and liabilities 31 Mar 2021 31 Dec 2020
A. Short-term liabilities
1. Liabilities due to credit institutions 960,000 960,000
2. Leasing liabilities 187,518 186,257
3. Trade payables 238,173 93,978
4. Provisions 156,321 209,104
5. Income tax liabilities 162,663 816,884
6. Customer contract liabilities and other liabilities 3,859,429 849,109
Total short-term liabilities 5,564,104 3,115,332
B. Long-term liabilities
1. Liabilities due to credit institutions 4,320,000 4,560,000
2. Leasing liabilities 1,262,390 1,309,968
Total long-term liabilities 5,582,390 5,869,968
C. Equity
1. Subscribed capital 2,235,000 2,235,000
2. Reserves 1,191,184 1,191,184
3. Equity capital difference from currency translation -441,501 -486,974
4. Group/consolidated result 10,444,952 10,473,881
Total equity 13,429,635 13,413,091
Total equity and liabilities 24,576,129 22,398,391

3

Consolidated Statement of Comprehensive Income

1 Jan - 31 Mar 2021 1 Jan - 31 Mar 2020
1. Revenues 3,346,768 3,113,607
2. Other operating income 4,748 22,640
3. Cost of materials/cost of goods and
services purchased
-2,975 0
4. Personnel expenses -2,375,074 -2,104,285
5. Amortisation/depreciation of intangible
and tangible assets
-165,872 -169,120
6. Other operating expenses -634,624 -624,337
7. Operating result (EBIT) 172,971 238,505
8. Financial result -24,853 -26,900
9. Currency losses -5,431 -4,097
10. Result before taxes (EBT) 142,687 207,508
11. Income tax -171,616 -174,947
12. Consolidated net loss / Consolidated net
profit
-28,929 32,561
13. Exchange rate differences from
converting foreign financial statements
45,473 492
14. Consolidated result 16,544 33,053
Earnings per share -0.01 0.01

Consolidated Cash Flow Statement

1 Jan - 31 Mar 2021 1 Jan - 31 Mar 2020
1. Cash flow from operating activities
Consolidated net loss / Consolidated
net profit
-28,929 32,561
+ Depreciation and amortisation of fixed
assets
165,872 169,120
-/+ Profits/losses from the disposal of
intangible and tangible assets
-1,115 0
-/+ Decrease/increase in provisions -52,783 -98,480
-/+ Increase/decrease in deferred taxes 172,273 172,029
-/+ Other non-cash income/expenses 10,515 5,353
-/+ Increase/decrease in trade
receivables
-755,808 -1,381,444
-/+ Increase/decrease in other assets
and prepaid expenses
-40,419 -54,340
+/- Decrease/increase in income tax
claims/liabilities
-654,628 -374,467
-/+ Decrease/increase in trade payables 144,195 44,298
-/+ Decrease/increase in other liabilities
and customer contract liabilities
3,010,321 3,232,241
Cash flow from operating activities 1,969,494 1,746,871
1 Jan - 31 Mar 2021 1 Jan - 31 Mar 2020
2. Cash flow from investing activities
- Payments made for investments in
tangible assets
-57,235 -18,323
+ Payments received from the disposal
of intangible and tangible assets
1,114 0
Cash flow from investing activities -56,121 -18,323
3. Cash flow from financing activities
+ Additions to long-term financing
liabilities
0 5,000,000
- Payments made for redemption of
long-term financing liabilities
-240,000 0
- Payments made for redemption of
lease liabilities
-46,317 -43,903
Cash flow from financing activities -286,317 4,956,097
Change in cash and cash equivalents 1,627,056 6,684,645
Effect of foreign exchange rate changes
on cash and cash equivalents
25,145 -10,279
Cash and cash equivalents at the
beginning of the period
7,790,641 2,615,707
Cash and cash equivalents at the end of
the period
9,442,842 9,290,073

Consolidated Statement of Equity

Subscribed capital Reserves Equity capital difference
from currency translation
Profit/Losses Equity
31
December
2019
2,235,000 1,191,184 -402,921 10,102,112 13,125,375
Consolidated
net profit
0 0 0 371,769 371,769
Exchange
rate
difference
from
converting
foreign
financial
statements
0 0 -84,053 0 -84,053
Total of costs
and income
0 0 -84,053 371,769 287,716
31
December
2020
2,235,000 1,191,184 -486,974 10,473,881 13,413,091
Consolidated
net profit
0 0 0 -28,929 -28,929
Exchange
rate
difference
from
converting
foreign
financial
statements
0 0 45,473 0 45,473
Total of costs
and income
0 0 45,473 -28,929 16,544
31 March
2021
2,235,000 1,191,184 -441,501 10,444,952 13,429,635

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