Consolidated Cash Flow Statement

in CHF 1 000

 

01.01. - 30.06.2024

01.01. - 30.06.2023 restated

Net profit

 

11 886

7 722

Depreciation

 

6 065

5 765

Amortization

 

3 548

2 204

Interest income

 

–248

–150

Interest expenses

 

2 593

1 776

Tax expenses

 

3 541

3 045

Change in provisions

 

–157

130

Change in other non-current assets

 

12

–12

Other non-cash-items

 

–904

1 384

Subtotal before working capital changes

 

26 336

21 865

Change in working capital

 

6 549

–7 421

Income tax paid

 

–4 418

–2 132

Interest paid

 

–2 187

–1 582

Interest received

 

249

138

Net cash from operating activities

 

26 529

10 868

Purchase of property, plant and equipment

 

–5 464

–5 512

Proceeds from sale of property, plant and equipment

 

34

79

Purchase of intangible assets

 

–20

–204

Acquisition of subsidiaries, net of cash acquired

 

–51 035

–21 985

Net cash used in investing activities

 

–56 485

–27 622

Transaction costs on conversion of MCNs

 

–43

-

Purchase of treasury shares (net)

 

–3 279

–427

Repayment of finance lease liabilities

 

–187

–242

Proceeds from borrowings short-term

 

7 778

-

Proceeds from borrowings long term

 

42 186

17 217

Repayment of borrowings short-term

 

–25 097

–11 003

Net cash from financing activities

 

21 358

5 545

Currency translation effects

 

1 265

–113

Net increase in cash and cash equivalents

 

–7 333

–11 322

Cash and cash equivalents at the beginning of the period

 

57 851

75 491

Cash and cash equivalents at the end of the period

 

50 518

64 169

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