Annual Report 2024

33. Cash, cash equivalents and short-term deposits

Cash, cash equivalents and short-term deposits

in € thousand

 

31.12.2024

 

31.12.2023

Short-term deposits with a maturity up to 3 months

 

155,324

 

67,520

Short-term deposits with a maturity of 4 – 12 months

 

20,000

 

0

Bank balances and cash in hand

 

75,462

 

130,011

 

 

250,786

 

197,531

Cash, cash equivalents and short-term deposits comprise cash in hand and various bank balances in different currencies.

Cash and short-term deposits of € 881 thousand (previous year: € 527 thousand) are subject to foreign exchange outflow restrictions.

As of the balance sheet date, the Group had unused credit facilities amounting to € 137,882 thousand (previous year: € 173,682 thousand) and had met all the conditions for their use. In the previous year, a syndicated loan of € 200,000 thousand was taken out as a credit line for operating equipment; as of the balance sheet date, € 128,000 thousand remained undrawn.

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