voxeljet AG Reports Financial Results for the Third Quarter Ended September 30, 2023

voxeljet AG

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED)

 

 

 

 

 

 

 

Nine months ended September 30,

 

 

2023

 

2022

 

 

(€ in thousands)

 

 

 

 

 

Cash Flow from operating activities

 

 

 

 

 

 

 

 

 

Loss for the period

 

(10,067

)

 

(11,254

)

 

 

 

 

 

Depreciation and amortization

 

2,198

 

 

2,174

 

Foreign currency exchange differences including loan to subsidiaries

 

(82

)

 

(1,589

)

Foreign currency translation reserve reclassified to profit or loss

 

--

 

 

(1,475

)

Change in fair value of bond funds

 

--

 

 

773

 

Share-based compensation expense

 

102

 

 

49

 

Change in impairment of trade receivables and other receivables

 

57

 

 

120

 

Non-cash interest expense on long-term debt

 

333

 

 

2,540

 

Change in fair value of derivative equity forward

 

--

 

 

2,311

 

Change in fair value of derivative put option

 

325

 

 

--

 

Change in inventory allowance

 

233

 

 

597

 

Loss on disposal of property, plant and equipment and intangible assets

 

--

 

 

23

 

Interest paid

 

928

 

 

129

 

Interest received

 

(88

)

 

(75

)

Interest accrued

 

(13

)

 

--

 

Other

 

(1

)

 

(87

)

 

 

 

 

 

 

 

 

 

 

Change in working capital

 

(666

)

 

(1,635

)

Trade and other receivables, inventories and current assets

 

(2,343

)

 

(6,163

)

Trade payables

 

(143

)

 

773

 

Other liabilities, contract liabilities and provisions

 

1,842

 

 

3,776

 

Income tax payable/receivables

 

(22

)

 

(21

)

Total

 

(6,741

)

 

(7,399

)

 

 

 

 

 

Cash Flow from investing activities

 

 

 

 

 

 

 

 

 

Payments to acquire property, plant and equipment and intangible assets

 

(534

)

 

(574

)

Proceeds from disposal of financial assets

 

1,873

 

 

12,581

 

Payments to acquire financial assets

 

(3,715

)

 

--

 

Interest received

 

88

 

 

75

 

Total

 

(2,288

)

 

12,082

 

 

 

 

 

 

Cash Flow from financing activities

 

 

 

 

 

 

 

 

 

Repayment of lease liabilities

 

(761

)

 

(356

)

Repayment of long-term debt

 

(79

)

 

(1,522

)

Proceeds long-term debt

 

3,028

 

 

--

 

Debt transaction cost

 

(124

)

 

--

 

Proceeds from issue of ordinary shares in the form of ADS

 

860

 

 

--

 

Share issue cost

 

(71

)

 

--

 

Change in restricted cash

 

--

 

 

294

 

Interest paid

 

(931

)

 

(129

)

Total

 

1,922

 

 

(1,713

)

 

 

 

 

 

Net increase (decrease) in cash and cash equivalents

 

(7,107

)

 

2,970

 

 

 

 

 

 

Cash and cash equivalents at beginning of period

 

12,119

 

 

7,027

 

Changes to cash and cash equivalents due to foreign exchanges rates

 

(44

)

 

240

 

Cash and cash equivalents at end of period

 

4,968

 

 

10,237

 

See accompanying notes to unaudited condensed consolidated interim financial statements.

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