Condensed consolidated statement of comprehensive income

1 January to 30 June

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