Revenue Surge and Strategic Moves

  • Revenue: EUR13.4 million, increased by 24% from a year ago.

  • EBIT: EUR1.3 million.

  • EBITDA: EUR2.6 million.

  • Cash Flow from Operations: EUR6.6 million negative, mainly due to payment timings.

  • Development Fees: EUR10.7 million, higher than the comparison period.

  • Royalties and Game Sales: EUR2.6 million, higher than the comparison period.

  • External Work Expenses: EUR3.6 million, 22% lower than the comparison period.

  • Personnel Expenses: Increased by 5.9% year on year.

  • Cash Position: EUR28 million, decreased by EUR13.1 million from the previous quarter.

  • Cash Management Investments: EUR17.3 million.

  • Cash and Cash Equivalents: EUR10.7 million.

Release Date: April 30, 2025

For the complete transcript of the earnings call, please refer to the full earnings call…

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