Below are the financial statements of Fluidra, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
| All figures in thousands of EUR | 2024 | 2023 |
|---|---|---|
| Operating income | — | — |
| Sales of goods and finished products | 2,101,599a | 2,050,708a |
| Income from the rendering of services | 34,803a | 32,788a |
| Work performed by the group and capitalised as non-current assets | 24,140a | 22,133a |
| Total operating income | 2,160,542a | 2,105,629a |
| Operating expenses | — | — |
| Changes in inventories of finished goods and work in progress and raw material supplies | -912,069a | -961,060a |
| Personnel expenses | -418,245a | -385,692a |
| Depreciation and amortisation expenses and impairment losses | -161,132a | -157,820a |
| Other operating expenses | -409,283a | -365,910a |
| Total operating expenses | -1,900,729a | -1,870,482a |
| Other gains and losses | — | — |
| Profit / (loss) from sales of fixed assets | -95a | 909a |
| Total other gains and losses | -95a | 909a |
| Operating profit | 259,718a | 236,056a |
| Finance income / (cost) | — | — |
| Finance income | 3,835a | 2,231a |
| Finance cost | -61,272a | -64,575a |
| Right-of-use finance cost | -9,048a | -8,130a |
| Exchange gains / (losses) | -145a | -7,462a |
| Financial result | -66,630a | -77,936a |
| Share in profit / (loss) for the year from investments accounted for using the equity method | 1a | 24a |
| Profit / (loss) before tax from continuing operations | 193,089a | 158,144a |
| Income tax expense | -51,032a | -41,293a |
| Profit / (loss) after tax from continuing operations | 142,057a | 116,851a |
| Profit / (loss) attributable to non-controlling interests | 3,989a | 3,024a |
| Profit / (loss) attributable to equity holders of the parent | 138,068a | 113,827a |
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