Fiven Annual Report 2022

Amounts in EUR thousand Note 31 Dec 2022 31 Dec 2021 restated 1 ASSETS Buildings and land 15 9 253 9 170 Plant and equipment 15 24 020 18 122 Right-of-use-assets 15,12 1 301 2 741 Other Intangible assets 16,17 13 890 14 675 Goodwill 16,17 5 390 5 390 Other non-current assets 18,23,30 10 378 1 289 Deferred tax assets 14 1 088 928 Total non-current assets 65 321 52 316 Inventories 19 49 454 33 309 Trade receivables 20,23 28 003 20 941 Other receivables 18,23 8 626 10 541 Prepayments 18 734 572 Other current financial assets 18,23,30 17 976 4 643 Cash and cash equivalents including restricted cash 21 18 881 23 637 Total current assets 123 673 93 643 TOTAL ASSETS 188 995 145 959 1 The comparative information is restated on account of correction of an error. Refer to note 30. Consolidated statement of financial position Fiven Annual Report 2022 28 Financial statements

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