Materialise Reports First Quarter 2024 Results

Consolidated statement of cash flows (Unaudited)

for the three months ended
March 31,
In 000€

2024

2023

Operating activities
Net (loss) profit for the period

3,585

 

3,715

 

Non-cash and operational adjustments

4,637

 

6,112

 

Depreciation of property plant & equipment

3,765

 

3,637

 

Amortization of intangible assets

1,672

 

1,674

 

Impairment of goodwill and intangible assets

-

 

-

 

Share-based payment expense

71

 

-

 

Loss (gain) on disposal of intangible assets and property, plant & equipment

(132

)

(22

)

Movement in provisions

79

 

(618

)

Movement reserve for bad debt and slow moving inventory

188

 

109

 

Financial income

(2,309

)

(767

)

Financial expense

797

 

1,375

 

Impact of foreign currencies

(5

)

6

 

(Deferred) income taxes

510

 

717

 

Working capital adjustments

1,029

 

850

 

Decrease (increase) in trade receivables and other receivables

3,712

 

3,363

 

Decrease (increase) in inventories and contracts in progress

(10

)

262

 

Increase (decrease) in deferred revenue

643

 

1,368

 

Increase (decrease) in trade payables and other payables

(3,315

)

(4,142

)

Income tax paid & Interest received

718

 

367

 

Net cash flow from operating activities

9,970

 

11,044

 

 
for the three months ended
March 31,
In 000€

2024

2023

Investing activities
Purchase of property, plant & equipment

(2,525

)

(2,532

)

Purchase of intangible assets

(306

)

(738

)

Proceeds from the sale of property, plant & equipment & intangible assets (net)

206

 

100

 

Acquisition of subsidiary (net of cash)

-

 

-

 

Net cash flow used in investing activities

(2,624

)

(3,171

)

Financing activities
Repayment of loans & borrowings

(4,876

)

(5,635

)

Repayment of leases

(757

)

(859

)

Capital increase

-

 

-

 

Interest paid

(358

)

(417

)

Other financial income (expense)

(5

)

(108

)

Net cash flow from (used in) financing activities

(5,997

)

(7,019

)

Net increase/(decrease) of cash & cash equivalents

1,348

 

854

 

Cash & Cash equivalents at the beginning of the year

127,573

 

140,867

 

Exchange rate differences on cash & cash equivalents

(22

)

(1

)

Cash & cash equivalents at end of the period

128,899

 

141,720

 

 

« Previous Page 1 | 2 | 3 | 4 | 5 | 6 | 7  Next Page »
Featured Video
Editorial
Jobs
Manufacturing Test Engineer for Google at Prague, Czechia, Czech Republic
Mechanical Manufacturing Engineering Manager for Google at Sunnyvale, California
Mechanical Test Engineer, Platforms Infrastructure for Google at Mountain View, California
Equipment Engineer, Raxium for Google at Fremont, California
Senior Principal Mechanical Engineer for General Dynamics Mission Systems at Canonsburg, Pennsylvania
Principal Engineer for Autodesk at San Francisco, California
Upcoming Events
FABTECH Orlando 2024 at Orange County Convention Center Orlando FL - Oct 15 - 17, 2024
TIMTOS 2025 at Nangang Exhibition Center Hall 1 & 2 (TaiNEX 1 & 2) TWTC Hall Taipei Taiwan - Mar 3 - 8, 2025
Automate 2025 at Detroit, Michigan, USA MI - May 12 - 15, 2025



© 2024 Internet Business Systems, Inc.
670 Aberdeen Way, Milpitas, CA 95035
+1 (408) 882-6554 — Contact Us, or visit our other sites:
AECCafe - Architectural Design and Engineering EDACafe - Electronic Design Automation GISCafe - Geographical Information Services TechJobsCafe - Technical Jobs and Resumes ShareCG - Share Computer Graphic (CG) Animation, 3D Art and 3D Models
  Privacy PolicyAdvertise