Nano Dimension Announces Record Q1/2023 Results Revenue of $14.97 Million, 43% YoY Growth

Consolidated Statements of Cash Flows (Unaudited)
(In thousands of USD)

   Three Months Ended
March 31,
   Year ended
December 31
 
    2022     2023     2022  
Cash flow from operating activities:         
Net income (loss)  (33,288)     21,959    (228,295)
Adjustments:            
Depreciation and amortization  1,141      1,423    7,283 
Impairment losses on intangible assets           31,045 
Impairment losses on property plant and equipment           9,478 
Financing (income) expenses, net  2,194      (8,152 )  (1,769)
Revaluation of financial liabilities accounted at fair value  (1,370)     191    (4,516)
Revaluation of financial assets accounted at fair value        (45,276 )  62,791 
Loss from disposal of property plant and equipment and ROU Assets     (3 )     124       948  
Increase in deferred tax     (461 )     (3 )     (581 )
Share-based compensation     10,123       6,124       32,563  
Other     94       45       166  
      11,718       (45,524 )     137,408  
Changes in assets and liabilities:                        
Increase in inventory     (468 )     (545 )     (4,603 )
Increase in other receivables     (851 )     (851 )     (1,978 )
Increase in trade receivables     (2,175 )     (3,708 )     (1,992 )
Increase in other payables     1,724       (528 )     5,281  
Increase (decrease) in employee benefits     1,148       (561 )     1,497  
Increase in trade payables     729       1,805       628  
      107       (4,388 )     (1,167 )
Net cash used in operating activities     (21,463 )     (27,953 )     (92,054 )
                         
Cash flow from investing activities:                        
Change in bank deposits and loans net     (21,907 )     (228,497 )     141,555  
Interest received     762       11,292       17,465  
Change in restricted bank deposits     20       (271 )     (327 )
Acquisition of property plant and equipment     (1,975 )     (3,944 )     (9,388 )
Acquisition of subsidiaries, net of cash acquired     (18,124 )           (31,057 )
Payment of a liability to pay a contingent consideration of business combination           (3,960 )     (10,708 )
Acquisition of financial assets in fair value through profit and loss                 (177,775 )
Decrease in pledged deposit                 3,362  
Other                 (800 )
Net cash used in investing activities     (41,224 )     (225,380 )     (67,673 )
                         
Cash flow from financing activities:                        
Lease payments     (796 )     (1,220 )     (4,151 )
Repayment Long-term Bank Debt     (80 )     (57 )     (406 )
Proceeds from non-controlling interests                 510  
Amounts recognized in respect of government grants liability, net     (45 )     (85 )     (221 )
Payments of share price protection recognized in business combination                 (1,005 )
Repurchase of treasury shares           (18,392 )      
Net cash provided by (used in) financing activities     (921 )     (19,754 )     (5,273 )
Decrease in cash     (63,608 )     (273,087 )     (165,000 )
Cash at beginning of the year     853,626       685,362       853,626  
Effect of exchange rate fluctuations on cash     (1,877 )     (103 )     (3,264 )
Cash at end of the period     788,141       412,172       685,362  
                         
Non-cash transactions:                        
Property plant and equipment acquired on credit     211       476       52  
Recognition of a right-of-use asset     11,237       127       15,196  

   

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