v3.26.1
Consolidated Statement of Financial Position
Dec. 31, 2025
EUR (€)
Dec. 31, 2024
EUR (€)
Assets    
Goodwill   € 70,010,000
Intangible assets € 848,000 164,862,000
Property, plant and equipment 80,663,000 122,898,000
Deferred tax assets 195,000 1,474,000
Non-current R&D incentives receivables 126,662,000 132,729,000
Non-current contingent consideration receivable. 47,750,000 42,465,000
Equity Investments 46,809,000 52,941,000
Other non-current assets 2,959,000 8,708,000
Convertible Loan 21,175,000  
non-current financial investments   200,182,000
Non-current assets 327,061,000 796,269,000
Inventories 22,493,000 51,192,000
Trade and other receivables 20,706,000 47,476,000
Current R&D incentives receivables 31,208,000 39,882,000
Current financial investments 2,910,180,000 3,053,334,000
Cash and cash equivalents 87,868,000 64,239,000
Escrow account   41,163,000
Other current assets 7,002,000 31,049,000
Current assets from continuing operations 3,079,457,000 3,328,335,000
Assets classified as held for sale   11,115,000
Total current assets 3,079,457,000 3,339,450,000
Total assets 3,406,518,000 4,135,719,000
Equity and liabilities    
Share capital 293,937,000 293,937,000
Share premium account 2,736,994,000 2,736,994,000
Other reserves (8,637,000) (3,158,000)
Translation differences 2,997,000 3,472,000
Accumulated losses 210,577,000 (134,306,000)
Total equity 3,235,868,000 2,896,939,000
Retirement benefit liabilities   2,099,000
Deferred tax liabilities   20,660,000
Non-current lease liabilities 5,186,000 8,243,000
Other non-current liabilities 12,601,000 33,821,000
Non-current deferred income   838,876,000
Non-current liabilities 17,787,000 903,699,000
Current lease liabilities 1,729,000 3,479,000
Trade and other liabilities 104,647,000 98,877,000
Provisions 45,499,000  
Current tax payable 956,000 249,000
Current deferred income 32,000 232,476,000
Total current liabilities 152,863,000 335,081,000
Total liabilities 170,650,000 1,238,780,000
Total equity and liabilities € 3,406,518,000 € 4,135,719,000