34 Financial instruments

For general information on financial instruments and associated risks, please see Note 24 Financial instruments and associated risks of the consolidated financial statements.

34.1 Exposure to credit risk

Maximum exposure to credit risk as at September 30 is as follows:

EUR 000

09/30/2025

09/30/2024

Amounts due from group companies

99,302

98,753

Cash and cash equivalents

151,968

136,003

251,270

234,756

All amounts due from group companies are due within one year.

34.2 Liquidity risk

Summary of financial liabilities:

EUR 000

Carrying
amount

Contractual
cash flow

Due within
1 year

Due between
1 and 5 years

Due after
5 years

September 30, 2025

Loans and borrowings

172,814

199,814

130,327

30,767

38,720

September 30, 2024

Loans and borrowings

156,859

183,796

109,601

37,258

36,937

Further details on financial instruments are provided in Note 24 Financial instruments and associated risks to the consolidated financial statements.