- Consolidated Revenue: € 104.1m
- Profitability (EBITDA) margin: 13.4%
- Annual Revenue Objective raised
It is recalled that at the last half-year balance sheet, as of June 30, 2019, the following assets were included in the liquidity account:
- 12,927 shares
- € 291,897.05 in cash
We are pleased to invite you to the SFAF 2019 Half-Year Results Meeting which will take place on September 12th at 10:00 am.