Consolidated income statement

€ thousand 2022 Of which related party transactions 2021 Of which related party transactions Change
Revenue from sales and services 4,957,179   3,816,030   1,141,149
Other revenue and proceeds 181,066   156,032   25,035
Consolidated net revenue 5,138,245 148,412 3,972,061 101,556 1,166,183
Staff costs 305,066   275,819   29,247
Costs of materials and overhead 3,556,055   2,461,216   1,094,840
Consolidated operating costs 3,861,121 65,557 2,737,035 52,416 1,124,086
Net Income/(Expense) from commodity risk management 0   0   0
Profit/(loss) from non-financial equity investments 27,897   21,048   6,849
EBITDA 1,305,021 82,855 1,256,075 49,140 48,946
Net write-downs (write-backs) of trade receivables 113,370   86,207   27,164
Depreciation, amortisation
and provisions
625,799   588,768   37,031
Operating profit/(loss) 565,851 82,855 581,101 49,140 (15,249)
Financial income 25,962 1,117 11,491 7,142 14,471
Financial charges (111,670) (66) (97,388) 12 (14,282)
Profit/(Loss) on equity investments 17,793   7,798   9,995
Profit/(loss) before tax 497,937 83,906 503,002 56,293 (5,065)
Income tax 186,777   150,662   36,115
Net profit/(loss) 311,160 83,906 352,340 56,293 (41,180)
Net profit/(loss) from discontinued operations     0    
Net profit/(loss) 311,160 83,906 352,340 56,293 (41,180)
Profit/(loss) due to third parties 31,435   39,030   (7,595)
Net profit/(loss) attributable
to the Group
279,725   313,309   (33,585)
Earnings (loss) per share attributable to Parent Company’s shareholders          
  • Base
1.31348   1.47118   (0.15770)
  • Diluted
1.31348   1.47118   (0.15770)
Profit (loss) per share attributable to the shareholders of the Parent Company net
of treasury shares
         
  • Base
1.31605   1.47406   (0.15801)
  • Diluted
1.31605   1.47406   (0.15801)
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