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Parent company's cash flow

SEK thousands Note 2025-01-01
2025-12-31
2024-01-01
2024-12-31
Operating activities      
Operating profit (EBIT)   -8,268 -1,107
Adjustments for non-cash items      
Unrealized exchange rate difference   7,873 755
Change in provisions   -1,682 3,030
Income tax paid   -26,897 -18,609
Interest received 2,914 1,178
Interest paid -2,500 -594
Cash flow from operating activities before changes in working capital   -28,560 -15,346
       
Changes in working capital      
Change in operating receivables   13,847 49,912
Change in operating liabilities   24,849 123,846
Cash flow from operating activities   10,136 158,411
       
Investing activities      
Loans to group companies   - 11,238
Cash flow from investing activities   - 11,238
       
Financing activities      
Warrants, issue   - -
Dividend paid   -25,981 -37,413
Repayment of borrowings   - -
Group contribution   67,000 48,000
Cash flow from financing activities   41,019 10,587
       
Net increase/decrease in cash and cash equivalents   51,155 180,235
       
Cash and cash equivalents at the beginning of the year 190,265 10,784
Exchange rate differences in liquidity   -7,873 -755
Cash and cash equivalents at the end of the year 233,547 190,265

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