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Five-year development

Five-year development

Amounts in € 1,000

2024
(IFRS)

2023
(IFRS)

2022
(IFRS)

1/1 2022
(IFRS)

31/12 2021
(NL-GAAP)

2022
(NL-GAAP)

2021
(NL-GAAP)

2020
(NL-GAAP)

Profit and loss account

Net revenue

936,756

843,327

756,207

n.a.

663,155

758,147

663,155

538,946

Earnings before interest, taxes, depreciation and amortization (EBITDA)

116,559

103,421

91,719

n.a.

56,434

72,909

56,434

41,234

Earnings before interest, taxes and amortization (EBITA)

85,883

77,497

68,457

n.a.

52,533

68,686

52,533

37,545

Earnings before interest and taxes (EBIT)

76,815

69,495

60,277

n.a.

39,428

48,072

39,428

31,434

Earnings before taxes (EBT)

72,675

66,482

57,480

n.a.

38,662

45,725

38,662

30,922

Net profit

53,891

49,623

42,214

n.a.

26,813

30,275

26,813

21,485

Cash flow

93,635

83,549

73,656

n.a.

43,819

55,112

43,819

31,286

Balance sheet

Intangible fixed assets

239,104

170,853

150,936

130,105

130,105

138,775

130,105

54,257

Tangible fixed assets

104,732

88,165

79,823

77,738

10,388

12,072

10,388

9,953

Financial fixed assets

78

240

72

114

347

242

347

107

Total fixed assets

343,914

259,258

230,811

208,152

140,840

151,089

140,840

64,316

Stocks

12,463

9,835

7,453

5,608

5,608

7,453

5,608

3,262

Receivables

253,805

240,000

240,197

177,979

94,688

124,471

94,688

91,867

Cash and cash equivalents

101,591

60,252

73,042

53,815

53,905

73,198

53,905

57,964

Total current assets

367,859

310,087

320,692

237,402

154,201

205,122

154,201

153,094

Total assets

711,773

569,345

551,503

445,554

295,041

356,211

295,041

217,410

Amounts in € 1,000

2024
(IFRS)

2023
(IFRS)

2022
(IFRS)

1/1 2022
(IFRS)

31/12 2021
(NL-GAAP)

2022
(NL-GAAP)

2021
(NL-GAAP)

2020
(NL-GAAP)

Share capital

10,000

10,000

10,000

10,000

10,000

10,000

10,000

10,000

Reserves

215,202

160,912

110,765

68,261

88,680

118,955

88,680

61,866

Legal entity’s share in group equity

225,202

170,912

120,765

78,261

98,680

128,955

98,680

71,866

Third-party share in group equity

429

93

0

0

668

515

668

551

Provisions (*)

18,010

14,173

15,166

13,775

13,775

15,135

13,775

5,988

Long-term liabilities

111,035

88,130

118,718

98,874

50,000

64,213

50,000

0

Current liabilities

357,097

296,037

304,634

254,645

131,918

147,393

131,918

139,005

Total liabilities

711,773

569,345

551,503

445,554

295,041

356,211

295,041

217,410

Liquidity and solvency ratios

Current ratio

1.03

1.02

1.03

n.a.

1.17

1.39

1.17

1.10

Solvency

31.7%

30.0%

21.9%

n.a.

33.4%

35.1%

33.4%

33.1%

Return ratios

EBT margin

7.8%

7.9%

7.6%

n.a.

5.8%

6.0%

5.8%

5.7%

EBITA margin

9.2%

9.2%

9.1%

n.a.

7.9%

9.1%

7.9%

7.0%

EBITDA margin

12.4%

12.3%

12.1%

n.a.

8.5%

9.6%

8.5%

7.7%

Return on shareholders’ equity

23.9%

29.0%

35.0%

n.a.

27.2%

42.7%

27.2%

29.9%

Investments

Investments in tangible fixed assets

9,130

15,150

27,544

n.a.

3,313

6,086

3,313

1,770

Investments in intangible fixed assets

75,516

23,008

29,440

n.a.

88,953

29,534

88,953

23,707

Number of FTE at end of financial year

4,187

3,778

3,555

n.a.

3,287

3,555

3,287

2,843

Absenteeism due to sickness

5.5%

5.4%

6.3%

n.a.

5.1%

6.3%

5.1%

5.2%

(*) both long-term and short-term