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Key Figures

    20252024202320222021
Profit and loss            
Revenue K€ 81,705 84,082 118,780 105,518 79,792
EBIT K€ -1,815 -11,818 6,611 8,186 4,197
EBT K€ -3,970 -13,744 4,539 7,415 3,782
Income taxes K€ -1,655 4,115 -1,397 -2,046 -1,195
Net profit for the period K€ -5,625 -9,629 3,142 5,369 2,587
Balance sheet            
Assets            
Current assets K€ 59,810 58,291 94,276 84,473 67,469
Non-current assets K€ 30,838 36,354 31,736 31,525 31,224
Total assets K€ 90,648 94,645 126,012 115,998 98,693
Liabilities            
Total Shareholders' equity K€ 44,022 50,683 60,253 60,266 56,575
Current liabilities K€ 11,041 30,468 51,454 40,159 26,715
Non-current liabilities K€ 35,585 13,494 14,305 15,573 15,403
Total shareholders' equity and liabilities K€ 90,648 94,645 126,012 115,998 98,693
Cashflow statement            
CF from operating activities K€ -1,936 25,143 6,184 -1,687 -3,903
CF from investing activities K€ -1,838 -4,100 -5,138 -5,022 -3,339
CF from financing activities K€ 2,440 -20,992 71 -5,162 -3,363
Cash and cash equivalents K€ 3,908 5,530 5.463 -17,927 -6,096
Personnel            
Employees at year-end   459 528 600 571 468
Share            
Share capital units / € 9,020,000 9,020,000 9,020,000 9,020,000 9,020,000
Number of voting shares units 8,885,060 8,885,060 8,885,060 8,885,060 8,885,060
Dividend payment K€ - - 444 2,666 1,777
Dividend per share - - 0.05 0.30 0.20
Shareholder capital per share 4.95 5.70 6.78 6.78 6.37
Key figures            
EBIT-Margin % -2.2 -14.1 5.6 7.8 5.3
Return on equity % -12.8 -19.0 5.2 8.9 4.6
Equity ratio % 48.6 53.6 47.8 52.0 57.3
Consolidated statement of comprehensive income   01.01.-30.09.202501.01.-30.09.2024
Revenue K€ 56,751 63,185
EBIT K€ -1,769 -5,911
EBIT-Margin % -3.1 -9.4
Net profit for the period K€ -2,309 -4,953
Earnings per share -0.25 -0.57
Number of employees as at 30 September   460 540
Consolidated statement of financial position   30.09.202531.12.2024
Assets      
Current assets K€ 59,371 58,291
Non-current asset K€ 33,768 36,354
Total assets K€ 93,139 94,645
Liabilities and shareholders' equity      
Current liabilities K€ 34,436 30,468
Non-current liabilities K€ 11,427 13,494
Shareholders' equity K€ 47,276 50,683
Total liabilities and shareholders' equity K€ 93,139 94,645
Equity ratio % 50.8 53.6
Consolidated cash flow statement   01.01.-30.09.202501.01.-30.09.2024
Cash flow from operating activities K€ -2,239 17,447
Cash flow from investing activities K€ -2,170 -3,024
Cash flow from financing activities K€ 3,613 -15,905
Cash and cash equivalents as at 30 September K€ 4,424 3,977
Consolidated Income Statement   01.01.-30.06.202501.01.-30.06.2024
Revenue K€ 39,290 41,304
EBIT K€ 52 -4,844
EBIT-Margin % 0.1 -11.7
Net profit for the period K€ -674 -4,104
Earnings per share -0.07 -0.47
Number of employees at end of period   460 583
Consolidated Balance   30.06.202531.12.2024
Assets      
Current assets K€ 59,814 58,291
Non-current asset K€ 33,750 36,354
Total assets K€ 93,564 94,645
Liabilities      
Current liabilities K€ 32,560 30,468
Non-current liabilities K€ 12,114 13,494
Shareholders' equity K€ 48,890 50,683
Total liabilities and shareholders' equity K€ 93,564 94,645
Equity ratio % 52.3 53.6
Consolidated cash flow statement   01.01.-30.06.202501.01.-30.06.2024
Cash flow from operating activities K€ -2,994 15,084
Cash flow from investing activities K€ -1,437 -2,192
Cash flow from financing activities K€ 3,526 -11,974
Cash and cash equivalents K€ 4,350 6,391
Consolidated Income Statement   01.01.-31.03.202501.01.-31.03.2024
Revenue K€ 19,789 18,628
EBIT K€ 24 -2,382
EBIT-Margin % 0.1 -12.8
Net profit for the period K€ -335 -1,947
Earnings per share -0.03 -0.22
Number of employees at end of period   475 597
Consolidated Balance   31.03.202531.12.2024
Assets      
Current assets K€ 59,516 58,291
Non-current asset K€ 35,568 36,354
Total assets K€ 95,084 94,645
Liabilities      
Current liabilities K€ 32,368 30,468
Non-current liabilities K€ 12,756 13,494
Shareholders' equity K€ 49,960 50,683
Total liabilities and shareholders' equity K€ 95,084 94,645
Equity ratio % 52.5 53.6
Consolidated cash flow statement   01.01.-31.03.202501.01.-31.03.2024
Cash flow from operating activities K€ -2,382 9,111
Cash flow from investing activities K€ -760 -1,303
Cash flow from financing activities K€ 1,250 -9,156
Cash and cash equivalents K€ 3,626 4,122

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