Fiven Annual Report 2022

SEGMENT REPORTING FOR THE PERIOD 1 JANUARY TO 31 DECEMBER 2021 Amounts in EUR thousand Fiven Norway Fiven Brazil Fiven Belgium Other Total segment reporting Revenue from contracts with customers 56 232 55 269 15 938 - 127 439 Other income 19 - 13 - 32 Total revenue and other income from external customers 56 252 55 269 15 950 - 127 471 Revenue from other group segments 2 976 13 362 - (16 338) - Total revenue and other income 59 228 68 631 15 950 (16 338) 127 471 Operating expenses (excluding depr. & amort.) (49 231) (56 822) (17 678) 17 443 (106 288) Other gains and losses 1 5 699 - - - 5 699 Operating profit (loss) before depreciation and amortization 2 15 696 11 809 (1 728) 1 105 26 883 Non-recurring & other non-financial items (5 585) (168) 2 514 759 (2 480) Adjusted EBITDA 10 112 11 641 786 1 864 24 403 Operating profit (loss) before depreciation and amortization 2 15 696 11 809 (1 728) 1 105 26 883 Depreciation and amortization (2 444) (1 225) (222) (1 182) (5 072) Operating profit (loss) 2 21 811 1 Other items relate to the gain or loss on fair value of a power contract, refer to note 23 for further information. 2 The comparative information is restated on account of correction of an error. Refer to note 30. NON-CURRENT ASSETS IN THE SEGMENTS AS OF 31 DECEMBER 2022 Amounts in EUR thousand Fiven Norway Fiven Brazil Fiven Belgium Other Total segment reporting Buildings and land 4 937 4 009 308 - 9 253 Plant and equipment 12 682 10 586 742 11 24 020 Right-of-use-asset 380 616 306 - 1 301 Other intangible assets 12 894 836 161 - 13 890 Goodwill 5 390 - - - 5 390 Other non-current financial assets 10 249 114 - 14 10 378 Deferred tax assets - 1 088 - - 1 088 Non-current assets 46 532 17 248 1 517 25 65 321 NON-CURRENT ASSETS IN THE SEGMENTS AS OF 31 DECEMBER 2021 Amounts in EUR thousand Fiven Norway Fiven Brazil Fiven Belgium Other Total segment reporting Buildings and land 5 433 3 423 315 - 9 170 Plant and equipment 11 619 5 674 814 15 18 122 Right-of-use-asset 1 268 1 283 190 - 2 741 Other intangible assets 13 558 906 211 - 14 675 Goodwill 5 390 - - - 5 390 Other non-current financial assets 1 1 234 40 - 15 1 289 Deferred tax assets - 928 - - 928 Non-current assets 38 501 12 255 1 530 29 52 316 1 The comparative information is restated on account of correction of an error. Refer to note 30. Fiven Annual Report 2022 Financial statements 45

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