Profit and Loss Account

UKHD
2023
K €
2022
K €
2021
K €
Revenues (incl. Inventory changes) 1,153,341.6 1,125,117.1 1,069,914.0
Personnel expenses 651,639.1 627,453.5 590,208.4
Cost of materials 422,506.8 409,987.1 380,839.3
Other income plus allocations and subsidies from the public budget 63,818.2 59,052.4 51,083.1
Other expenses 143,876.9 138,945.0 133,899,987.1
EBITDA -863.0 7,784.0 16,049.3
Asset write-downs affecting net income 16,102.1 16,035.4 16,083,612.8
EBIT -16,965.1 -8,251.4 -34.3
Financial result 2,387.3 -1,530.6 -5,879.2
EBT -14,577.8 -9,782.0 -5,913.6
Earnings before taxes 600.1 547.1 786.8
Net profit /loss for the year -15,177.9 -10,329.1 -6,700.4
Retained earnings -29,451.8 -22,811.5 -20,237.0
Allocation to the revenue reserves 0.0 0.0 0.0
Withdrawal from the revenue reserves 3,394.4 3,688.8 4,125.9
Net income -41,235.4 -29,451.8 -22,811.5
Group
2023
K €
2022
K €
2021
K €
Revenues (incl. Inventory changes + own work capitalized) 1,327,834.9 1,283,919.5 1,225,606.9
Personnel expenses 643,460.8 619,433.0 590,830.7
Cost of materials 616,759.0 596,611.6 545,813.8
Other income plus allocations and subsidies from the public budget 144,662.1 175,828.1 129,789.8
Other expenses 208,541.4 233,122.6 191,073.0
EBITDA 3,735.8 10,580.4 27,679.2
Asset write-downs affecting net income 19,593.6 19,513.2 19,484.5
EBIT -15,857.9 -8,932.8 8,194.6
Financial results 641.9 -3,148.5 -5,964.1
EBT -15,216.0 -12,081.3 2,230.5
Earnings before taxes 1,112.4 859.5 2,524.8
Net profit/ loss for the year -16,328.4 -12,940.8 -294.3
Results of other subsidiaries -276.6 -353.1 612.2
Consolidated net income/loss -16,051.8 -12,587.7 -906.5
Retained earnings -19,967.8 -11,069.0 -13,818.9
Allocation to retained reserves 1,124.0
Withdrawal from retained reserves 3,394.4 3,688.8 4,780.4
Net profit/loss for the year -32,625.3 -19,967.8 -11,069.0

Balance sheet

UKHD
Assets 31.12.2023
m €
31.12.2022
m €
31.12.2021
m €
31.12.2020
m €
A. Fixed assets 966.7 987.9 941.0 969.8
B. Current assets 619.3 628.1 480.8 462.2
C. Prepaid expenses and accrued income 3.9 4.1 2.7 2.4
Total assets 1,589.9 1,620.1 1,424.4 1,434.6
Equity and Liabilities 31.12.2023
m €
31.12.2022
m €
31.12.2021
m €
31.12.2020
m €
A. Equity 109.7 124.9 99.8 106.5
B. Special items to finance the fixed assets 654.2 666.1 643.7 656.3
C. Provisions 151.1 156.5 139.5 121.7
D. Liabilities 671.8 668.1 541.4 550.0
E. Accruals and deferred income 3.1 0.4 0.1 0.2
Total equity and liabilities 1,589.90 1,620.10 1,424.40 1,434.60
Group
Assets 31.12.2023
m €
31.12.2022
m €
31.12.2021
m €
31.12.2020
m €
A. Fixed assets 1,018.6 1,033.6 987.6 1,012.5
B. Current assets 732.2 739.9 593.6 545.1
C. Prepaid expenses and accrued income 4.2 4.4 2.8 2.6
Total assets 1,755.0 1,777.9 1,584.0 1,560.3
Equity and Liabilities 31.12.2023
m €
31.12.2022
m €
31.12.2021
m €
31.12.2020
m €
A. Equity 131.1 147.6 126.4 126.7
B. Special items to finance the fixed assets 682.8 692.7 669.2 681.1
C. Provisions 211.4 211.7 193.2 169.0
D. Liabilities 725.8 721.2 594.9 583.2
E. Accruals and deferred income 3.9 4.8 0.3 0.3
Total equity and liabilities 1,755.0 1,777.9 1,584.0 1,560.3