Dec 24 | Dec 23 | Dec 22 | Dec 21 | Dec 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | kr 2.08B | kr 2.01B | kr 2.09B | kr 1.26B | kr 905.00M |
Gross Profit | kr 703.90M | kr 706.20M | kr 472.20M | kr 335.10M | kr 277.60M |
Operating Income | kr 14.80M | kr 12.50M | kr 93.50M | kr 11.90M | kr 44.60M |
EBITDA | kr 121.00M | kr 98.30M | kr 165.00M | kr 81.60M | kr 98.10M |
Net Income | kr -8.00M | kr -7.60M | kr 68.30M | kr 6.20M | kr 41.60M |
Balance Sheet | |||||
Cash & Short-Term Investments | kr 155.80M | kr 66.90M | kr 125.00M | kr 106.70M | kr 111.10M |
Total Assets | kr 1.38B | kr 1.34B | kr 1.36B | kr 1.10B | kr 817.50M |
Total Debt | kr 0.00 | kr 401.50M | kr 376.50M | kr 336.30M | kr 255.20M |
Net Debt | kr -155.80M | kr 334.60M | kr 251.50M | kr 229.60M | kr 144.10M |
Total Liabilities | kr 741.90M | kr 775.30M | kr 784.40M | kr 613.00M | kr 434.90M |
Stockholders' Equity | kr 637.60M | kr 563.60M | kr 575.20M | kr 488.60M | kr 382.40M |
Cash Flow | |||||
Free Cash Flow | kr 79.90M | kr 11.20M | kr 102.30M | kr 3.70M | kr 48.50M |
Operating Cash Flow | kr 99.70M | kr 30.40M | kr 135.00M | kr 34.10M | kr 77.00M |
Investing Cash Flow | kr -7.10M | kr -4.00M | kr -88.50M | kr -138.70M | kr 87.10M |
Financing Cash Flow | kr -3.80M | kr -84.50M | kr -28.20M | kr 100.20M | kr -174.30M |