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Adjustments to cash from operating activities (Tables)
12 Months Ended
Mar. 31, 2022
Statement of cash flows [abstract]  
Disclosure of Adjustments to Cash from Operating Activities
(EUR thousand)For the financial year ended March 31
Net other financial costs202220212020
Net change in capitalized financing expenses (excl. yearly amortization)— (937)(9)
Net change in interests payable28 55 
Net foreign exchange gains/(losses) on financing activities293 (280)3,105 
Net foreign exchange losses on operational activities(409)(1,379)(4,178)
Other finance income636 2,121 1,650 
Interest received247 345 552 
Other finance costs(2,579)(2,203)(5,947)
Total(1,804)(2,305)(4,772)
(EUR thousand)For the financial year ended March 31
Elimination of non-cash items202220212020
Change in provisions109 (22)486 
Change in the value of retirement benefit obligation371 (976)59 
Changes in share-based payments4,471 1,239 — 
Call option359 — — 
Put options from business combinations2,835 2,817 — 
Impairment financial assets2,390 — — 
Impairment tangible and intangible assets444 1,676 — 
Fair value (gain)/loss on derivative financial instruments586 489 (894)
Loss from participations in associated companies720 1,056 1,839 
Loss on Share base payments and NC-PECS— — 1,771 
Capital loss tangible and intangible assets261 696 — 
Change in fair value of warrants(18,928)10,856 — 
ZigZag earn-out reversal(9,500)— — 
Acquisition of PPE under construction(1,034)— — 
Other(669)649 (322)
Total(17,585)18,480 2,939