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InVision AG

Interim / Quarterly Report May 11, 2023

230_10-q_2023-05-11_48e05a27-ade4-4ebd-b37f-f0edbb30a9cb.pdf

Interim / Quarterly Report

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Consolidated Interim Statements 3M 2023

Consolidated Interim Financial Statements

of InVision AG as of 31 March 2023

Consolidated Balance Sheet

1

Consolidated Statement of Comprehensive Income

Consolidated Cash Flow Statement

Consolidated Statement of Equity

Financial Summary

(in TEUR) 3M 2023 3M 2022 ∆*
Total Revenues 3,749 3,580 +5%
EBIT -641 -563 -14%
as a % of revenues -17% -16% -1 PP
Consolidated result -864 -758 -14%
as a % of revenues -23% -21% -2 PP
Operating cash flow 1,772 2,046 -13%
as a % of revenues 47% 57% -10 PP
Earnings per share (in EUR) -0.39 -0.34 -15%
2
(in TEUR)
31 Mar 2023 31 Dec 2022
Balance sheet total 21,752 18,918 +15%
Liquid funds 8,168 6,489 +26%
Equity 7,142 7,965 -10%
as a % of balance sheet total 33% 42% -9 PP

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

Consolidated Balance Sheet

InVision AG, 31 March 2023 IFRS, in Euro

Assets 31 Mar 2023 31 Dec 2022
Short-term assets
Liquid funds 8,168,458 6,489,076
Trade receivables 2,856,125 1,598,791
Income tax claims 7,697 7,654
Prepaid expenses and other short-term assets 303,225 223,625
Total short-term assets 11,335,505 8,319,146
Long-term assets
Intangible assets 213,939 231,420
Tangible assets 7,798,267 7,904,710
Right-of-use assets 1,150,744 1,037,355
Deferred taxes 1,241,334 1,413,060
Other long-term assets 12,400 12,115
Total long-term assets 10,416,684 10,598,660
Total assets 21,752,189 18,917,806
Equity and liabilities 31 Mar 2023 31 Dec 2022
Short-term liabilities
Leasing liabilities 214,644 200,491
Trade payables 250,360 172,596
Provisions 138,386 185,879
Income tax liabilities 189,687 207,267
Customer contract liabilities and other liabilities 4,728,276 1,199,733
Total short-term liabilities 5,521,353 1,965,966
Long-term liabilities
Bank loans 8,040,000 8,040,000
Leasing liabilities 1,048,881 947,064
Total long-term liabilities 9,088,881 8,987,064
Equity
Subscribed capital 2,235,000 2,235,000
Reserves 1,400,047 1,359,169
Equity capital difference from currency
translation
-485,835 -490,923
Group/consolidated result 3,992,743 4,861,530
Total equity 7,141,955 7,964,776
Total equity and liabilities 21,752,189 18,917,806

4

Consolidated Statement of Comprehensive Income

InVision AG, 31 March 2023 IFRS, in Euro

1 Jan - 31 Mar 2023 1 Jan - 31 Mar 2022
Revenues 3,749,493 3,579,919
Other operating income 36,312 11,109
Personnel expenses -3,306,347 -3,059,969
Amortisation/depreciation of intangible
and tangible assets
-184,245 -175,026
Other operating expenses -936,183 -919,164
Operating result (EBIT) -640,970 -563,131
Financial result -42,002 -22,685
Currency losses/gains -3,329 2,752
Result before taxes (EBT) -686,301 -583,064
Income tax -182,486 -172,993
Consolidated net loss -868,787 -756,057
Items recognised outside of profit or loss:
Exchange rate differences from
converting foreign financial statements
5,088 -2,241
Consolidated result -863,699 -758,298
Earnings per share (diluted and undiluted) -0.39 -0.34

Consolidated Cash Flow Statement

InVision AG, 31 March 2023 IFRS, in Euro

6

1 Jan - 31 Mar 2023 1 Jan - 31 Mar 2022
Cash flow from operating activities
Consolidated result -868,787 -756,057
+ Depreciation and amortisation of fixed
assets
184,245 175,026
Profits(-)/losses(+) from the disposal of
intangible and tangible assets
-2,129 -1,840
Decrease(-)/increase(+) in provisions -47,493 -50,650
Increase(-)/decrease(+) in deferred taxes 171,726 172,824
Other non-cash income(-)/expenses(+) 40,668 41,303
Increase(-)/decrease(+) in trade
receivables
-1,257,334 -936,635
Increase(-)/decrease(+) in other assets
and prepaid expenses
-79,885 -32,303
Decrease(-)/increase(+) in income tax
liabilities/claims (netted)
-17,623 209,954
Decrease(-)/increase(+) in trade payables 77,764 47,097
Decrease(-)/increase(+) in other liabilities
and customer contract liabilities
3,528,543 3,154,881
Interest income (-)/Interest expenses (+) 42,002 22,685
Cash flow from operating activities 1,771,697 2,046,285

6

Cash flow from investing activities

7

- Payments made for investments in
tangible assets
-7,505 -24,343
- Payments made for investments in
intangible assets
0 -6,000
+ Payments received from the disposal of
intangible and tangible assets
2,129 1,840
Cash flow from investing activities -5,376 -28,503
Cash flow from financing activities
- Payments made for redemption of lease
liabilities
-52,660 -49,339
- Interest paid -42,002 -22,685
Cash flow from financing activities -94,662 -72,024
Change in cash and cash equivalents 1,671,659 1,945,758
Effect of foreign exchange rate changes
on cash and cash equivalents
7,723 -8,943
Cash and cash equivalents at the
beginning of the period
6,489,076 6,338,332
Cash and cash equivalents at the end of
the period
8,168,458 8,275,147

Consolidated Statement of Equity 8

InVision AG, 31 March 2023 IFRS, in Euro

Subscribed capital Reserves Equity capital difference
from currency translation
Profit/Losses Equity
31 December
2021
2,235,000 1,204,142 -408,788 8,839,822 11,870,176
Consolidated
net profit
0 0 0 -3,978,292 -3,978,292
Exchange rate
difference
from
converting
foreign
financial
statements
0 0 -82,135 0 -82,135
Total of costs
and income
0 0 -82,135 -3,978,292 -4,060,427
Stock option
plan
0 155,027 0 0 155,027
31 December
2022
2,235,000 1,359,169 -490,923 4,861,530 7,964,776
Consolidated
net profit
0 0 0 -868,787 -868,787
Exchange rate
difference
from
converting
foreign
financial
statements
0 0 5,088 0 5,088
Total of costs
and income
0 0 5,088 -868,787 -863,699
Stock option
plan
0 40,878 0 0 40,878
31 March
2023
2,235,000 1,400,047 -485,835 3,992,743 7,141,955

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