Condensed consolidated cash flow statement

1 January to 30 June

x €1,000

2025

2024

Cash flow from operating activities

13,421

18,651

Cash flow from investing activities

-1,327

-3,305

Cash flow from financing activities

-9,696

-17,156

Net cash flow

2,398

-1,810

Translation differences in cash balances

-369

-147

Movements in cash and cash equivalents

2,029

-1,957

Cash and cash equivalents as at 1 January

9,147

11,137

Cash and cash equivalents as at 30 June

11,176

9,180