3. Consolidated statement of financial position (before appropriation of results)

x € 1 million

ASSETS

31 December 2024

31 December 2023

Non-current assets

6.10

Property, plant and equipment

123.3

114.7

6.11

Right-of-use assets

106.0

89.6

6.12

Goodwill

164.8

165.1

6.12

Other intangible assets

2.2

10.9

6.13

Joint ventures and associates

105.7

100.8

6.14

Loans granted to joint ventures

64.7

36.6

6.15

Deferred tax assets

11.8

19.7

578.5

537.4

Current assets

6.16

Strategic land holdings

232.9

158.6

6.16

Other inventories

141.6

230.6

6.17

Work in progress debit

93.5

139.2

6.9

Income tax assets

3.3

0.1

6.18

Trade and other receivables

213.4

229.3

6.19

Cash and cash equivalents

105.4

40.4

790.1

798.2

Total assets

1,368.6

1,335.6

EQUITY AND LIABILITIES

31 December 2024

31 December 2023

Equity

2b

Issued capital

8.3

8.1

2b

Share premium reserve

313.3

300.2

2b

Reserve for actuarial results

-64.0

-64.0

2b

Reserve for Bonus Investment Share Matching Plan

0.2

0.2

2b

Retained earnings

115.2

79.4

1

Result for the year after tax

90.0

59.7

463.0

383.6

Non-current liabilities

6.22

Interest-bearing loans and other non-current financing liabilities

8.2

65.5

6.11

Lease liabilities

74.9

62.4

6.23

Provision for employee benefits

22.0

22.4

6.24

Provisions

38.5

45.2

6.15

Deferred tax liabilities

24.0

29.3

167.6

224.8

Current liabilities

6.22

Interest-bearing loans and other current financing liabilities

0.4

21.8

6.11

Lease liabilities

31.7

27.5

6.25

Trade and other payables

367.3

346.1

6.17

Work in progress credit

301.5

304.6

6.9

Income tax liabilities

5.4

6.8

6.23

Provision for employee benefits

1.5

0.8

6.24

Provisions

30.2

19.6

738.0

727.2

Total equity and liabilities

1,368.6

1,335.6