| Cash and cash equivalents | 1,151.44a | 925.92a |
| Trade receivables | 241.45a | 197.1a |
| Contract assets from projects | 838.23a | 780.35a |
| Current contract assets from service | 9.37a | 8.73a |
| Inventories | 909.37a | 1,265.69a |
| Income tax receivables | 22.98a | 20.21a |
| Other current financial assets | 135.81a | 101.11a |
| Other current non-financial assets | 293.63a | 253.64a |
| Current assets | 3,602.28a | 3,552.76a |
| Property, plant and equipment | 545.34a | 554.43a |
| Goodwill | 547.76a | 547.76a |
| Capitalised development expenses | 184.84a | 169.79a |
| Prepayments made | 0.08a | 0.05a |
| Other intangible assets | 16.04a | 14.07a |
| Investments | 0.94a | 3.43a |
| Investments accounted for using the equity method | 99.58a | 82.37a |
| Non-current contract assets from services | 39.46a | 37.24a |
| Other non-current financial assets | 27.64a | 48.73a |
| Other non-current non-financial assets | 36.52a | 29.77a |
| Deferred tax assets | 530.67a | 381.64a |
| Non-current assets | 2,028.87a | 1,869.28a |
| Assets | 5,631.15a | 5,422.03a |
| Current liabilities to banks | 38.37a | 37.14a |
| Trade payables | 1,657.02a | 1,669.27a |
| Contract liabilities from projects | 995.29a | 1,319.55a |
| Current contract liabilities from services | 34.26a | 31.19a |
| Income tax payables | 13.41a | 23.85a |
| Other current provisions | 365.46a | 263.67a |
| Other current financial liabilities | 111.11a | 88.78a |
| Other current non-financial liabilities | 393.79a | 239.71a |
| Current liabilities | 3,608.71a | 3,673.17a |
| Non-current liabilities to banks | 6.5a | 6.5a |
| Non-current contract liabilities from services | 178.23a | 154.76a |
| Pensions and similar obligations | 2.97a | 2.51a |
| Other non-current provisions | 217.81a | 137.66a |
| Other non-current financial liabilities | 414.47a | 391a |
| Other non-current non-financial liabilities | 2.17a | 2.92a |
| Deferred tax liabilities | 203.68a | 75.4a |
| Non-current liabilities | 1,025.82a | 770.75a |
| Subscribed capital | 236.45a | 236.45a |
| Capital reserves | 1,099.42a | 1,381.55a |
| Other retained earnings | -11a | -10.98a |
| Cash flow hedge reserve | 6.88a | -5.04a |
| Reserve for cash flow hedge costs | -0.59a | 0.06a |
| Foreign currency adjustment item | -154.45a | -145.33a |
| Consolidated net profit/ loss carried forward | -186.05a | -480.12a |
| Consolidated net profit/ loss | 0a | 0a |
| Share in equity attributable to shareholders of the parent | 990.65a | 976.6a |
| Non-controlling interests | 5.97a | 1.52a |
| Equity | 996.62a | 978.12a |
| Equity and liabilities | 5,631.15a | 5,422.03a |