Key Financials

Key Financials

K'000 June 2023 2022 2021
Revenue 315,736 631,262 563,929
Operating Profit 29,647 80,961 87,386
Profit attributed to shareholders  24,225 57,985 90,550
Cash generated from operations 54,255 183,519 187,261
Net cash inflow/(outflow) before financing -70,765 30,096 9,386
Shareholders' funds 1,029,529 1,027,010 1,004,684
External borrowings  300,704 263,084 266,065