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Fastighets AB Balder (DE:28F0)
FRANKFURT:28F0
Germany Market

Fastighets AB Balder (28F0) Cash flow

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Fastighets AB Balder Cash Flow

DE:28F0's free cash flow for Q2 2026 was kr1.50B. For the 2026 fiscal year, DE:28F0's free cash flow was decreased by kr633.00M and operating cash flow was kr1.51B. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
kr 5.37Bkr 4.74Bkr 4.86Bkr 5.05Bkr 1.53B
Investing Cash Flow
kr -11.47Bkr -9.44Bkr -6.21Bkr -12.91Bkr -29.88B
Financing Cash Flow
kr 8.51Bkr 5.65Bkr -212.00Mkr 10.50Bkr 25.12B
End Cash Position
kr 5.71Bkr 3.38Bkr 2.40Bkr 3.98Bkr 1.30B
Free Cash Flow
kr 5.32Bkr 4.68Bkr 4.67Bkr 4.91Bkr 1.46B
Currency in SEK

Fastighets AB Balder Cash Flow