Key figures


(EUR thousand)1 Jan. 2025 – 31 Mar. 2025
(unaudited)
1 Jan. 2024 – 31 Mar. 2024
(unaudited)
1 Jan. 2024 – 31 Dec. 2024
(audited)
1 Jan. 2023 – 31 Dec. 2023
(audited)
Revenue2,0581,6466,8135,626
Maintenance and repair costs-91-47-502-241
Gross margin1,9661,5996,3115,385
Change in fair value of the module stock-1,717-401-8,269274
Sales and marketing costs-85-76-347-287
Administrative expenses-337-136-1,254-584
Other expenses00-61-2
Operating profit-172986-3,6214,786
Financial income2301450
Financial expenses-1,272-954-6,043-2,820
Change in fair value of loan receivables63288221-1,671
Total financial income and expenses-1,187-666-5,677-4,491
Result before tax-1,359320-9,298295
Income taxes267-991,884-94
Total comprehensive income of the period-1,092221-7,413201
Total comprehensive income attributable to shareholders of the parent company-1,092221-7,413201