63 Notes 31.12.2025 31.12.2024 Distribution of profits to shareholders (dividends) (2’241’000) (2’190’000) Cash outflow from financing activities (2’241’000) (2’190’000) Net (decrease) / increase in cash (5’593’437) (6’372’471) Cash As at January 1 3.1 23’276’765 29’649’236 As at December 31 3.1 17’683’328 23’276’764 Changes in cash (5’593’437) (6’372’471) Die Gesellschaft Die Aktionäre Nachhaltigkeit Forschung und Innovation Digitalisierung Erdgastransport Finance Personal HSE
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