voxeljet AG
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED)
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Six months ended June 30, |
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2023 |
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2022 |
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(€ in thousands) |
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Cash Flow from operating activities |
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Loss for the period |
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(6,888) |
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(2,552) |
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Depreciation and amortization |
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1,474 |
|
1,439 |
Foreign currency exchange differences including loan to subsidiaries |
|
84 |
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(873) |
Foreign currency translation reserve reclassified to profit or loss |
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-- |
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(1,475) |
Change in fair value of bond funds |
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-- |
|
773 |
Share-based compensation expense |
|
75 |
|
49 |
Change in impairment of trade receivables and other receivables |
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47 |
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129 |
Non-cash interest expense on long-term debt |
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217 |
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1,093 |
Change in fair value of derivative equity forward |
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-- |
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(2,353) |
Change in fair value of derivative put option |
|
333 |
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-- |
Change in inventory allowance |
|
156 |
|
334 |
Loss on disposal of property, plant and equipment and intangible assets |
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-- |
|
23 |
Interest paid |
|
617 |
|
103 |
Interest received |
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(59) |
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(75) |
Interest accrued |
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(6) |
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-- |
Other |
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-- |
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(79) |
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Change in working capital |
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(1,366) |
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(2,796) |
Trade and other receivables, inventories and current assets |
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(2,548) |
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(4,476) |
Trade payables |
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(557) |
|
94 |
Other liabilities, contract liabilities and provisions |
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1,755 |
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1,608 |
Income tax payable/receivables |
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(16) |
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(22) |
Total |
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(5,316) |
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(6,260) |
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Cash Flow from investing activities |
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Payments to acquire property, plant and equipment and intangible assets |
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(315) |
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(390) |
Proceeds from disposal of financial assets |
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1,873 |
|
12,581 |
Payments to acquire financial assets |
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(3,714) |
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-- |
Interest received |
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59 |
|
75 |
Total |
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(2,097) |
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12,266 |
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Cash Flow from financing activities |
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Repayment of lease liabilities |
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(519) |
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(179) |
Repayment of long-term debt |
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(53) |
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(628) |
Proceeds long-term debt |
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3,028 |
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-- |
Debt transaction cost |
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(124) |
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-- |
Proceeds from issue of ordinary shares in the form of ADS |
|
860 |
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-- |
Share issue cost |
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(71) |
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-- |
Change in restricted cash |
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-- |
|
294 |
Interest paid |
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(621) |
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(103) |
Total |
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2,500 |
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(616) |
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Net increase (decrease) in cash and cash equivalents |
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(4,913) |
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5,390 |
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Cash and cash equivalents at beginning of period |
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12,119 |
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7,027 |
Changes to cash and cash equivalents due to foreign exchanges rates |
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(25) |
|
122 |
Cash and cash equivalents at end of period |
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7,181 |
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12,539 |
See accompanying notes to unaudited condensed consolidated interim financial statements.