Consolidated statement of profit or loss

1 January to 30 June

x €1,000 (unless stated otherwise)

2025

2024

Net revenue

127,513

137,495

Consumption of materials and supplies

-53,543

-62,644

Gross margin

73,970

74,851

Operating costs

-60,988

-63,181

Operating result

12,982

11,670

Financial income and expenses

-375

-526

Result from ordinary activities before tax

12,607

11,144

Taxes

-2,782

-2,553

Share of result from participating interest

665

-

Net result (from continuing operations)

10,490

8,591

Net result (attributable to shareholders)

10,480

8,651

Net result (attributable to third parties)

10

-60

Earnings per share attributable to shareholders:

Earnings per ordinary share (x €1)*

8.06

6.66

Diluted earnings per ordinary share (x €1)**

8.06

6.66

Earnings per share from continuing operations:

Earnings per ordinary share (x €1)*

8.07

6.62

Diluted earnings per ordinary share (x €1)**

8.07

6.62

  • *Net result divided by the number of shares outstanding as at 30 June of the reporting year.
  • **Net result divided by the number of shares outstanding, including all conditionally awarded shares.