Ponsse´s half-year report for 1 January - 30 June 2021
– Net sales for the period under review amounted to EUR 350.8 (276.4) million.– Operating result for the period under review totalled EUR 36.3 (21.8) million, equalling 10.3 (7.9) per cent of net sales.– Profit before taxes for the period under review was EUR 35.9 (7.0) million.– Cash flow from business operations for the period under review was EUR 25.1 (-14.3) million.– Earnings per share were EUR 0.89 (0.11) for the period under review.– Equity ratio was 59.5 (47.9) per cent at the end of period under review.– Order books stood at EUR 355.5 (179.3) million at the end of