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Xvivo Perfusion AB (DE:3XV)
FRANKFURT:3XV
Germany Market

Xvivo Perfusion AB (3XV) Cash flow

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Xvivo Perfusion AB Cash Flow

DE:3XV's free cash flow for Q2 2026 was kr49.69M. For the 2026 fiscal year, DE:3XV's free cash flow was decreased by kr-69.98M and operating cash flow was kr63.49M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
kr 101.07Mkr 111.29Mkr 46.29Mkr 27.86Mkr -12.06M
Investing Cash Flow
kr -258.41Mkr -243.81Mkr -161.62Mkr -197.62Mkr -187.70M
Financing Cash Flow
kr 72.25Mkr -10.90Mkr 418.55Mkr -6.84Mkr 234.61M
End Cash Position
kr 292.09Mkr 415.52Mkr 546.09Mkr 246.54Mkr 398.70M
Free Cash Flow
kr -151.84Mkr -81.86Mkr -97.65Mkr -103.09Mkr -106.13M
Currency in SEK

Xvivo Perfusion AB Cash Flow