Investor Presentation • Oct 14, 2021
Investor Presentation
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Investor Presentation 14/10/21
Circa Group's available cash balance as per Q3 21 is approximately €48m
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| Cash | EURm | Cash spending Q321-Q423 | EURm |
|---|---|---|---|
| Cash balance as per Q321 | 48 | ReSolute plant CAPEX | 50-55 |
| EU Flagship grant (55 %) | 5 | ReSolute OPEX |
3 |
| Other grants | 3 | Corporate costs incl market dev etc |
9 |
| Sum cash available | 56 | FC5 operations (less R&D tax) | 2 |
| Other financing options | 6-13 | Sum cash spending | 64-69 |
Based on preliminary phasing of ReSolute cash spending. Final phasing may impact the timing of cash flows
*Sources: Grandview Research (2020): NMP /DMF Market Analysis (2018-2025); Cognitive Market Research – NMP Market Report (2021); 360 Research – NMP / DMF (2021); BCC Research – Global Study on NMP (2020)
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