in thous. EURO

Twelve
months
ended
June
30, 2021

Eighteen
months
ended
June
30, 2020

Revenue from interest 152 309
Profit (loss) from operating activities 138 281
Profit (loss) before tax 138 -130
Net profit (loss) 138 -130
Net cash flow from operating activities -51 -345
Net cash flow from investing activities 0 339
Change in cash and cash equivalents equivalents -15 -6
Total assets 4 744 4 620
Short-term liabilities 4 6
Equity 4 740 4 614
Share capital 500 2 102
Number of shares (in pcs.) 5 005 324 15 015 972
Profit (loss) per share (in EUR) 0,03 -0,01
Book value per share (in EURO) 0,95 0,31