Higher realised market prices and strong financial discipline led to improved H1 results, despite lower generation volumes and volatile commodity markets. Strategic moves included a planned acquisition in Norway and the closure of a coal plant, with robust liquidity and low leverage maintained.Orig…
Higher realised market prices and strong financial discipline led to improved H1 results, despite lower generation volumes and volatile commodity markets. Strategic moves included a planned acquisition in Norway and the closure of a coal plant, with robust liquidity and low leverage maintained.
Original document:
This is an AI-generated summary and may contain inaccuracies. Please verify any important information with the original source.