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LION E-Mobility — Interim / Quarterly Report 2022
May 4, 2022
7282_10-q_2022-05-04_e4733d43-be4b-4e0f-b78d-bf1dafd106ab.pdf
Interim / Quarterly Report
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Income (P&L) statement of LION Smart GmbH (according to HGB, not audited)
for the period from January 1st to March 31st, 2022, and from January 1st to March 31st, 2021.
| 01.01.- | 01.01.- | |
|---|---|---|
| EUR | 31.03.2022 | 31.03.2021 |
| Sales | 13.200.596 | 2.609.127 |
| Decrease/ Increase in inventories of finished goods and work in progress |
-107.149 | 99.777 |
| Own work capitalized | 0 | 0 |
| Total output | 13.093.447 | 2.708.904 |
| Other operating income | 68.776 | 4.940 |
| Cost of materials | 11.839.085 | 1.986.395 |
| Gross profit | 1.254.362 | 722.509 |
| Personnel expenses | 868.042 | 618.662 |
| Depreciation and amortization on intangible fixed assets and tangible fixed assets |
30.607 | 75.010 |
| Other operating expense | 483.159 | 316.575 |
| Earnings before Interest and Taxes (EBIT) | -58.670 | -282.797 |
| Other interest and similar income | 12.675 | 15.093 |
| Interest and similar expensees | 20.168 | 7.437 |
| Financial result | -7.493 | 7.656 |
| Earnings before tax | -66.164 | -275.141 |
| Taxes on income | 0 | 0 |
| Earnings after tax | -66.164 | -275.141 |
Balance sheet of LION Smart GmbH (according to HGB, not audited)
as of March 31st, 2022, and December 31st, 2021
| EUR | 31.03.2022 | 31.12.2021 |
|---|---|---|
| ASSETS | ||
| Fixed Assets | 7.421.024 | 7.434.350 |
| Intangible Assets | 2.491.693 | 2.488.073 |
| Tangible Assets | 338.771 | 355.718 |
| Financial Assets | 4.590.560 | 4.590.560 |
| Current Assets | 12.347.146 | 5.966.175 |
| Inventories | 2.136.228 | 508.088 |
| Receivables and other assets | 8.076.108 | 4.332.357 |
| Bank balances, cash and cash equivalents | 2.134.809 | 1.125.730 |
| Prepaid expenses | 238.152 | 79.840 |
| Total assets | 20.006.322 | 13.480.366 |
Balance sheet of LION Smart GmbH (according to HGB, not audited)
as of March 31st, 2022, and December 31st, 2021
| EUR | 31.03.2022 | 31.12.2021 |
|---|---|---|
| EQUITY AND LIABILITY | ||
| Equity | 6.070.622 | 5.586.785 |
| Subscribed capital | 129.500 | 129.500 |
| Capital reserve | 10.316.550 | 9.766.550 |
| Accumulated loses brought forward | -4.309.265 | -3.305.289 |
| Result for the period/ Net loss for the year | -66.164 | -1.003.976 |
| Accruals | 348.286 | 432.037 |
| Liabilities | 13.587.414 | 7.461.543 |
| Total equity and liabilities | 20.006.322 | 13.480.366 |
Cash flow statement of LION Smart GmbH
for the period from January 1st to March 31 st , 2022, and from January 1st to December 31 st , 2021.
| EUR | 01.01.- 31.03.2022 |
01.01.- 31.12.2021 |
|---|---|---|
| Result for the period/ Result for the year | -66.164 | -1.003.976 |
| Non-cash expenses | ||
| - Depreciation and amortization of fixed assets | 30.607 | 330.747 |
| - Non-cash interest expense and income | 237 | 26.014 |
| Increase (+), decrease (-) in provisions | -83.751 | -134.479 |
| Increase (+), decrease (-) in trade receivables | -2.705.550 | -533.717 |
| Increase (+), decrease (-) in advance payments made | -330 | 0 |
| Increase (+), decrease (-) in other receivables | 0 | -53.400 |
| Increase (+), decrease (-) in other assets | -1.038.202 | -757.786 |
| Increase (+), decrease (-) in inventories | -1.627.810 | -169.595 |
| Increase (+), decrease (-) in accrued income and prepaid expenses | -158.312 | 3.865 |
| Increase (+), decrease (-) in trade accounts payable | 4.833.412 | 2.574.739 |
| Increase (+), decrease (-) in other liabilities | 1.437.560 | 48.449 |
| Increase (+), decrease (-) in accrued expenses and deferred income | 127.863 | 55.861 |
| Cash flow from operating activities | 749.559 | 386.724 |
| Additions to internally generated intangible assets | 0 | -330.557 |
| Acquisition of licenses | -11.900 | -14.549 |
| Acquisition of machinery | 0 | -20.000 |
| Disposal of machines | 0 | 1.838 |
| Acquisition of other equipment, factory and office equipment | -5.381 | -121.305 |
| Disposal of other equipment, factory and office equipment | 0 | 3.230 |
| Acquisition of tools | 0 | -4.317 |
| Repayment of other financial liabilities | -273.200 | 0 |
| Cash flow from investing activities | -290.480 | -485.660 |
| Repayment of loans to companies in which participations are held | 0 | 210.000 |
| Deposit of statutory capital reserve | 550.000 | 500.000 |
| Cash flow from financing activities | 550.000 | 710.000 |
| Net change in cash and cash equivalents | 1.009.079 | 611.064 |
| Cash and cash equivalents Beginning of the year | 1.125.730 | 514.667 |
| Cash and cash equivalents at the measurement date | 2.134.809 | 1.125.730 |
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