Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Consolidated Statement Of Profit Or Loss

v3.22.1
Consolidated Statement Of Profit Or Loss - EUR (€)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Revenue from contracts with customers      
Total revenue from contracts with customers € 86,291,000 € 44,249,000 € 25,822,000
Cost of sales (excluding depreciation and amortization expenses) (61,122,000) (30,954,000) (20,911,000)
Gross profit 25,169,000 13,295,000 4,911,000
Other income 10,853,000 5,429,000 3,475,000
Selling and distribution expenses (2,472,000) (3,919,000) (6,068,000)
General and administrative expenses (337,451,000) (47,468,000) (39,199,000)
Operating loss (303,901,000) (32,663,000) (36,881,000)
Finance costs (15,419,000) (11,282,000) (5,947,000)
Loss before income tax (319,320,000) (43,945,000) (42,828,000)
Income tax (352,000) 689,000 (276,000)
Loss for the year (319,672,000) (43,256,000) (43,104,000)
Attributable to:      
Equity holders of the Company € (319,672,000) € (43,256,000) € (43,104,000)
Loss per share:      
Basic and diluted loss per ordinary share € (3,197) € (433) € (431)
Charging sessions      
Revenue from contracts with customers      
Total revenue from contracts with customers € 26,108,000 € 14,879,000 € 9,515,000
Service revenue from the sale of charging equipment      
Revenue from contracts with customers      
Total revenue from contracts with customers 37,253,000 15,207,000 9,147,000
Service revenue from installation services      
Revenue from contracts with customers      
Total revenue from contracts with customers 19,516,000 12,313,000 6,880,000
Service revenue from operation and maintenance of charging equipment      
Revenue from contracts with customers      
Total revenue from contracts with customers € 3,414,000 € 1,850,000 € 280,000