Parent company
■ Income statement
EUR
NOTE
1.1.–31.12.2022
1.1.–31.12.2021
Sales
2
1,572,707,178.40 43,724,591.06 91,648,078.56
1,389,003,575.21
Change in stocks of finished and unfinished products
18,978,903.15 40,474,541.15
Other operating income
3, 4
Materials and services Materials, consumables and goods
Purchases during the financial period
-1,091,988,355.22
-820,695,309.71
Changes in stocks
3,368,182.68
1,622,173.39
External services
5 5
-255,741,958.55 -106,360,648.15 -48,392,956.43 -112,597,632.50 -1,611,713,368.17
-220,006,720.05 -103,737,173.86 -49,811,731.10 -101,053,305.55 -1,293,682,066.88
Employee costs
Depreciations and impairment charges
3, 6 3, 5
Other operating expenses
Operating profit/loss
96,366,479.85
154,774,952.63
Financial income and expenses Income from group companies
7
68,282,404.82
5,644,555.11
Income from investments in other non-current assets
323,118.23 37,044.13
855.00
Other interest and financial income
16,028.55
Exchange rate differences
-24,823,074.91 -11,243,159.60 32,576,332.67
-4,792,233.25 -10,861,550.10 -9,992,344.69
Interest expenses and other financial expenses
Profit/loss before appropriations and taxes
128,942,812.52
144,782,607.94
Appropriations Change in depreciation differences
6
-11,697,827.98
-16,340,995.30
Group contribution
0.00
391,363.11
-11,697,827.98
-15,949,632.19
Income taxes
8
-5,624,167.05
-25,358,945.30
Profit/loss for the financial period
111,620,817.49
103,474,030.45
141
Parent company financial statements | METSÄ BOARD ANNUAL AND SUSTAINABILITY REPORT 2022
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