Key figures

Key financial figures:

EUR thousand, if not otherwise stated1.1.-31.3.2020
FAS
Tamturbo Group
1.1.-31.3.2019
FAS
Tamturbo Group
1.1.-31.12.2019
FAS
Tamturbo Group
1.1.-31.12.2018
FAS
Tamturbo Oyj
1.1.-31.12.2017
FAS
Tamturbo Oy
(Unaudited)(Audited)
Revenue504.019.42 134.1554.1157.9
Revenue growth rate2 502 %-285 %251 %-
Operating loss-1 125.1-775.5-2 959.5-2 600.2-1 441.9
Operating margin (%)2-223 %-3 997 %-140 %1-469 %1-913 %1
Loss for the financial period-1 177.4-795.9-3 325.2-2 647.9-1 461.6
Cash flow from operating activities-1 228.7-660.1-2 874.51-2 388.21-2 091.41
Cash flow from investing activities-27.2-267.3-285.91-1 144.41-1 083.91
Cash flow from financing activities-27.3-795.44 790.311 398.811 146.51
Total assets8 368.37 738.19 687.77 812.38 680.4
Total equity3 506.53 489.04 683.93 366.95 427.8

1 Unaudited.

2 Operating profit/(loss) (EBIT) in relation to revenue.