Quarterly Report • May 10, 2022
Quarterly Report
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Unaudited condensed consolidated interim financial statements as at and for the three months ended March 31, 2022
| For the three months ended March 31 |
|||
|---|---|---|---|
| 2022 | 2021 | ||
| Revenue | € 660 | € 185 | |
| Cost of goods sold | (289) | (52) | |
| Gross profit | € 371 | € 133 | |
| Research and Development Expense | (3 595) | (3 094) | |
| Selling, General and Administrative Expense | (4 193) | (2 366) | |
| Other income/(expense) | 136 | 4 | |
| Operating loss for the period | € (7 281) | € (5 323) | |
| Financial income | 1 576 | 4 | |
| Financial expense | (788) | (325) | |
| Loss for the period before taxes | € (6 493) | € (5 644) | |
| Income taxes | (208) | (25) | |
| Loss for the period | € (6 701) | € (5 669) | |
| Loss attributable to equity holders | € (6 701) | € (5 669) | |
| Other comprehensive loss | |||
| Items that may be subsequently reclassified to profit or loss (net of tax) |
|||
| Currency translation differences | (102) | (70) | |
| Total comprehensive loss for the year, net of tax | € (6 803) | € (5 739) | |
| Loss attributable to equity holders | € (6 803) | € (5 739) | |
| Basic Loss Per Share (in EUR) | € (0.260) | € (0.256) | |
| Diluted Loss Per Share (in EUR) | € (0.260) | € (0.256) |
| As at | |||
|---|---|---|---|
| March 31, 2022 |
December 31, 2021 |
||
| ASSETS | |||
| Non-current assets | |||
| Property, plant and equipment | € 2 048 | € 2 020 | |
| Intangible assets | 28 526 | 25 322 | |
| Right of use assets | 3 154 | 3 218 | |
| Deferred tax asset | 529 | 46 | |
| Other long-term receivables | 165 | 164 | |
| € 34 422 | € 30 770 | ||
| Current assets | |||
| Inventory | 301 | 346 | |
| Trade receivables | 619 | 226 | |
| Other receivables | 1 607 | 2 286 | |
| Other current assets | 1 197 | 1 693 | |
| Financial assets | 45 041 | − | |
| Cash and cash equivalents | 82 787 | 135 509 | |
| € 131 552 | € 140 060 | ||
| Total assets | € 165 974 | € 170 830 | |
| EQUITY AND LIABILITIES | |||
| Capital and reserves | |||
| Capital | 4 432 | 4 427 | |
| Share premium | 228 158 | 228 033 | |
| Share based payment reserve | 3 788 | 3 127 | |
| Other comprehensive income Retained loss |
100 | 202 | |
| (93 864) | (87 167) | ||
| Total equity attributable to shareholders | € 142 614 | € 148 622 | |
| LIABILITIES | |||
| Non-current liabilities | |||
| Financial debt | 7 952 | 7 802 | |
| Lease liability | 2 664 | 2 737 | |
| Pension liability | 80 | 80 | |
| Provisions | 22 | 12 | |
| Deferred tax liability | − | 5 | |
| € 10 718 | € 10 636 | ||
| Current liabilities | |||
| Financial debt | 598 | 554 | |
| Lease liability | 599 | 582 | |
| Trade payables | 3 401 | 3 995 | |
| Current tax liability | 3 588 | 2 808 | |
| Other payables | 4 456 | 3 633 | |
| € 12 642 | € 11 572 | ||
| Total liabilities | € 23 360 | € 22 208 | |
| Total equity and liabilities | € 165 974 | € 170 830 |
| For the three months ended March 31 |
||
|---|---|---|
| 2022 | 2021 | |
| CASH FLOWS FROM OPERATING ACTIVITIES | ||
| Loss before tax for the year | € (6 493) | € (5 644) |
| Adjustments for | ||
| Finance income | (1 576) | (4) |
| Finance expenses | 788 | 325 |
| Depreciation and impairment of property, plant and | ||
| equipment and right-of-use assets | 255 | 164 |
| Amortization of intangible assets | 208 | 211 |
| Share-based payment transaction expense | 665 | − |
| Increase/(decrease) in provisions | 10 | − |
| Other non-cash items | 180 | 3 |
| Cash generated before changes in working capital | € (5 963) | € (4 945) |
| Changes in working capital | ||
| Decrease/(Increase) in inventory | 45 | (51) |
| (Increase)/decrease in trade and other receivables | 884 | (1 195) |
| Increase/(Decrease) in trade and other payables | (392) | 2 170 |
| Cash generated from changes in operations | € (5 426) | € (4 021) |
| Interests received | − | 1 |
| Income tax paid | (65) | (34) |
| Net cash used in operating activities | € (5 491) | € (4 054) |
| CASH FLOWS FROM INVESTING ACTIVITIES | ||
| Purchases of property, plant and equipment | (128) | (169) |
| Capitalization of intangible assets | (3 412) | (1 606) |
| (Increase)/decrease in financial assets - current |
(44 032) | − |
| Net cash used in investing activities | € (47 572) | € (1 775) |
| CASH FLOWS FROM FINANCING ACTIVITIES | ||
| Payment of principal portion of lease liabilities | (146) | (135) |
| Repayment of other loan | (21) | (21) |
| Interests paid | (109) | (105) |
| Proceeds from issuance of shares, net of transaction costs |
130 | 52 |
| Other financial costs | (2) | − |
| Net cash generated from financing activities | € (148) | € (209) |
| Movement in cash and cash equivalents | € (53 211) | € (6 038) |
| Effect of exchange rates on cash and cash equivalents | 489 | (55) |
| Cash and cash equivalents at January 1 | € 135 509 | € 92 300 |
| Cash and cash equivalents at March 31 | € 82 787 | € 86 207 |
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