Company: PLSAY
Filing Date: 2025-04-23
Form Type: 20-F/A
Source: 0001884082-25-000005
Chunk: 192

Company: Polestar Automotive Holding UK PLC
Filing Date: 2025-04-23
Form: 20-F/A
Chunk 192
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145 |
| Other current liabilities and other current liabilities - related parties - (Restated)                       |     |                   |    20,939 |     |                           |      — |     |                    | — |     |       |    20,939 |
| Liabilities related to repurchase commitments - (Restated)                                                   |     |                   |   119,664 |     |                           |      — |     |                    | — |     |       |   119,664 |
| Interest-bearing current liabilities and interest-bearing current liabilities - related parties - (Restated) |     |                   |    93,361 |     |                           |      — |     |                    | — |     |       |    93,361 |
| Advance payments from customers                                                                              |     |                   |    16,415 |     |                           |      — |     |                    | — |     |       |    16,415 |
| Other non-current liabilities - (Restated)                                                                   |     |                   |         — |     |                           | 64,991 |     |                    | — |     |       |    64,991 |

<div align='center'>F-47</div>

| Other non-current interest bearing liabilities and other non-current interest bearing liabilities - related parties - (Restated) 
 Current and non-current refund liabilities - (Restated)                                                                          |     |   |         — 
    52,006 |     |   | 1,456,225 
     1,251 |     |   | 11,471 
      — |     |   | 1,467,696 
    53,257 |
|:---------------------------------------------------------------------------------------------------------------------------------|:----|:--|----------:|:----|:--|----------:|:----|:--|-------:|:----|:--|----------:|
| Total - (Restated)                                                                                                               |     | $ | 3,417,955 |     | $ | 1,522,467 |     | $ | 11,471 |     | $ | 4,951,893 |

The following table shows the maturities for the Group’s non-derivative financial assets and liabilities as of December 31, 2022:

|                                                                                                                                  |     | Due within 1 year |           |     | Due between 1 and 5 years |         |     | Due beyond 5 years |        |     | Total |           |
| Financial