Staff turnover in EUR744,591963,4001,101,3084,385,536-
Staff turnover in EUR744,591963,4001,101,3084,385,536-
The share: stated in EUR20212022202320242025
Shares outstanding (in mn.)186.76186.76186.76186.760.00
Dividend per share-----
Basic earnings per share0.27-0.17-0.92-0.74-
P/L in EUR million under IAS/IFRS20212022202320242025
Turnover16.424.128.6122.80.0
Operating income (EBIT)97.926.7-98.6-60.50.0
Earnings before taxes59.7-33.9-181.5-137.20.0
Annual net profit/ loss40.4-32.6-165.9-122.40.0
Balance sheet in EUR million under IAS/IFRS20212022202320242025
Assets
Total current assets1,006.91,132.01,070.81,061.90.0
Total fixed assets344.5303.9321.2226.30.0
Total assets1,351.51,435.91,392.11,288.20.0
Liabilities
Total short-term liabilities697.5621.11,015.41,021.20.0
Total long-term liabilities243.2435.7163.8196.80.0
Total provisions0.00.03.920.00.0
Equity capital410.8379.0212.870.20.0
Total liabilities1,351.51,435.91,392.11,288.20.0
Management:
Stefan Witjes
Board:
Norbert Ketterer
Leonhard Heinrich Fischer
Thomas Kunze
Shareholding in %:
Arvernus Capital AG 0.02
Freefloat 99.98
Address: Hardenbergstrasse 28a, 10623 Berlin
T: +49-30-40-363-47-0
F: +
I: http://www.gateway-re.de
E: [email protected]