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