|
x €1,000 |
2025 |
2024 |
|
Net result |
10,490 |
8,591 |
|
Elements which may be recognised in the statement of profit or loss in the future |
||
|
Cash flow hedges – adjustment to fair value (incl. taxes) |
-44 |
-30 |
|
Foreign activities – currency translation differences |
-1,728 |
232 |
|
Comprehensive income after tax |
8,718 |
8,793 |
|
Comprehensive income attributable to: |
||
|
Shareholders |
8,708 |
8,853 |
|
Third parties |
10 |
-60 |