Privacy policy

To use our website, you must accept the privacy policy and GDPR.
read more
Accept Cancel

Annual financial results

SELECTED FINANCIAL DATA OF RESBUD SE in thous. EUR
2018.12.31 2019.12.31 2020.12.31
Revenue from contracts with customers 125 0 0
Profit (loss) on operating activities 298 -93 -324
Gross profit (loss) 89 35 -347
Net profit (loss) 89 35 -347
Net cash flow from operating activities -51 -70 -221
Net cash flow from investment activities -1039 -208 45
Net cash flow from financial activities 802 246 147
Net cash flow, total -288 -32 -29
Total assets 2012 2824 1954
Liabilities and provisions for liabilities 164 357 614
Non-current liabilities 4 302 0
Current liabilities 160 55 614
Equity 1848 2467 1340
Share capital 1430 1991 1991
Number of shares (units) 13000000 18100000 18100000
Net profit (loss) per ordinary share (in EUR) -0.01 0.00 -0.02
Net diluted profit (loss) per ordinary share (in EUR) -0.01 0.00 -0.02
Book value per one share (in EUR) 0.14 0.14 0.07
Diluted book value per one share (in EUR) 0.14 0.14 0.07
Dividend per share declared or paid 0 0 0
Up