Group Balance Sheet
|
|
31.12.2021 |
|
31.12.2020 |
|
Assets |
Details |
CHF 1000 |
% |
CHF 1000 |
% |
Cash and cash equivalents |
2 |
113 726 |
– |
130 082 |
– |
Trade accounts receivable |
3 |
45 447 |
– |
11 240 |
– |
Other current receivables |
|
5 428 |
– |
9 017 |
– |
Inventories and work in progress |
4 |
37 405 |
– |
25 326 |
– |
Prepayments and accrued income |
5 |
14 031 |
– |
18 665 |
– |
Total current assets |
|
216 037 |
53.5 |
194 330 |
48.6 |
Tangible fixed assets |
6 |
179 531 |
– |
200 133 |
– |
Financial assets |
7 |
3 073 |
– |
2 388 |
– |
Intangible fixed assets |
8 |
5 214 |
– |
2 612 |
– |
Total non-current assets |
|
187 818 |
46.5 |
205 133 |
51.4 |
Total assets |
|
403 855 |
100.0 |
399 463 |
100.0 |
|
|
31.12.2021 |
|
31.12.2020 |
|
Liabilities and shareholders' equity |
Details |
CHF 1000 |
% |
CHF 1000 |
% |
Current financial liabilities |
9 |
8 532 |
– |
12 723 |
– |
Trade accounts payable |
|
15 605 |
– |
3 857 |
– |
Advance payments received for work in progress |
|
34 062 |
– |
26 292 |
– |
Other accounts payable |
|
8 478 |
– |
7 293 |
– |
Current provisions |
10 |
4 331 |
– |
7 319 |
– |
Accrued expenses and deferred income |
5 |
39 301 |
– |
23 908 |
– |
Total current liabilities |
|
110 309 |
27.3 |
81 392 |
20.4 |
Non-current financial liabilities |
9 |
237 891 |
– |
242 022 |
– |
Long-term provisions |
10 |
7 812 |
– |
8 743 |
– |
Total non-current liabilities |
|
245 703 |
60.8 |
250 765 |
62.8 |
Total liabilities |
|
356 012 |
88.2 |
332 157 |
83.2 |
Share capital |
|
148 694 |
– |
148 694 |
– |
Capital reserves |
|
58 955 |
– |
78 955 |
– |
Own shares |
|
–1 483 |
– |
– |
– |
Retained earnings |
|
–158 353 |
– |
–160 772 |
– |
Minority interests |
|
30 |
– |
429 |
– |
Total shareholders’ equity |
|
47 843 |
11.8 |
67 306 |
16.8 |
Total liabilities and shareholders' equity |
|
403 855 |
100.0 |
399 463 |
100.0 |