Consolidated statement of cash flows

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SEKm Notes 2024 2023
OPERATING ACTIVITIES      
Profit before taxes 405 339
Adjustment for items not included in cash flow 1,099 971
Interest received   6 9
Interest paid   -322 -272
Income tax paid -137 -210
Cash flow from operating activities before changes in working capital 1,051 837
Cash flow from changes in working capital    
Changes in inventories -4 -30
Changes in operating receivables -28 -129
Changes in operating liabilities 76 95
Cash flow from operating activities 1,095 773
INVESTING ACTIVITIES      
Acquisition of property, plant and equipment -250 -226
Disposal of property, plant and equipment 16 22
Acquisition of intangible assets -47 -82
Acquisition of operations -104 -27
Divestment of operations   -4
Acquisition of non-current financial assets   -2 -4
Divestment of non-current financial assets   1 4
Cash flow from investing activities -386 -317
FINANCING ACTIVITIES    
Borrowings 72 174
Repayments on loans -496 -407
Repayments on lease liability   -182 -160
Call options   -12 -9
Other financing   -2 -2
Dividend paid to equity holders of the Parent Company -61 -146
Dividend paid to non-controlling interests -1 -4
Cash flow from financing activities -682 -554
Cash flow for the year 27 -98
Cash and cash equivalents at beginning of year 272 376
Exchange differences on cash and cash equivalents 32 -6
Cash and cash equivalents at year-end 331 272
Latest updated: 9/23/2024 3:17:16 PM by Alexander Paziraei