XML 28 R5.htm IDEA: XBRL DOCUMENT v3.22.4
Consolidated Statements of Changes in Equity - EUR (€)
€ in Thousands
Total
Issued Capital [member]
Share Premium [member]
Treasury shares [member]
Foreign Currency Translation Reserve [member]
Accumulated Deficit [member]
Equity at Dec. 31, 2019 € 597,114 € 6,443 € 1,122,097 € 0 € (34) € (531,392)
Net profit/(loss) for the period (418,955)         (418,955)
Other comprehensive income/(loss), net of tax (42)       (42)  
Total comprehensive income/(loss) (418,997)     0 (42) (418,955)
Share-based payment (Note 7) 53,170         53,170
Capital increase 638,797 774 638,023      
Cost of capital increase (31,373)   (31,373)      
Equity at Dec. 31, 2020 838,711 7,217 1,728,747 0 (76) (897,177)
Net profit/(loss) for the period (383,577)         (383,577)
Other comprehensive income/(loss), net of tax 3,855       3,855  
Total comprehensive income/(loss) (379,722)     0 3,855 (383,577)
Share-based payment (Note 7) 66,830         66,830
Acquisition of treasury shares (21,605)     (21)   (21,584)
Capital increase 399,395 429 398,966      
Cost of capital increase (19,974)   (19,974)      
Equity at Dec. 31, 2021 883,635 7,646 2,107,739 (21) 3,779 (1,235,508)
Net profit/(loss) for the period (583,194)         (583,194)
Other comprehensive income/(loss), net of tax (327)       (327)  
Total comprehensive income/(loss) (583,521)     0 (327) (583,194)
Share-based payment (Note 7) 64,180         64,180
Acquisition of treasury shares (106,099)     (134)   (105,965)
Transfer under stock incentive programs       6   (6)
Capital increase 5,153 29 5,124      
Equity at Dec. 31, 2022 € 263,348 € 7,675 € 2,112,863 € (149) € 3,452 € (1,860,493)