Cash flow and investments
Cash flow from operating activities improved to EUR 1.1 million, compared to EUR -0.6 million in the previous year. Investments in property, plant and equipment amounted to EUR 1.3 million (previous year: EUR 3.3 million) and were primarily related to replacement investments. Cash flow from financing activities amounted to EUR -0.1 million (previous year: EUR 3.3 million).