| Apr 26 | Apr 25 | Apr 24 | Apr 23 | Apr 22 | |
|---|---|---|---|---|---|
| Income Statement | |||||
| Total Revenue | kr 245.65M | kr 214.86M | kr 204.42M | kr 195.20M | kr 149.68M |
| Gross Profit | kr 151.35M | kr 124.96M | kr 77.58M | kr 72.41M | kr 53.35M |
| Operating Income | kr 16.05M | kr 4.91M | kr 9.44M | kr 6.95M | kr 6.19M |
| EBITDA | kr 22.90M | kr 12.28M | kr 15.60M | kr 12.32M | kr 11.89M |
| Net Income | kr 11.62M | kr 1.82M | kr 4.09M | kr 2.99M | kr 5.27M |
| Balance Sheet | |||||
| Cash & Short-Term Investments | kr 37.32M | kr 17.89M | kr 16.45M | kr 9.55M | kr 11.43M |
| Total Assets | kr 138.50M | kr 124.37M | kr 138.29M | kr 125.65M | kr 95.02M |
| Total Debt | kr 7.11M | kr 9.14M | kr 11.06M | kr 13.20M | kr 18.40M |
| Net Debt | kr -30.22M | kr -8.74M | kr -5.39M | kr 4.60M | kr 9.11M |
| Total Liabilities | kr 33.70M | kr 31.19M | kr 47.72M | kr 40.98M | kr 44.67M |
| Stockholders' Equity | kr 104.80M | kr 64.65M | kr 62.73M | kr 58.59M | kr 38.40M |
| Cash Flow | |||||
| Free Cash Flow | kr 20.10M | kr 14.08M | kr 13.18M | kr -7.70M | kr -16.66M |
| Operating Cash Flow | kr 20.10M | kr 14.79M | kr 13.37M | kr -700.00K | kr -2.68M |
| Investing Cash Flow | kr 1.38M | kr -440.00K | kr -3.34M | kr -5.80M | kr -6.14M |
| Financing Cash Flow | kr -2.04M | kr -12.92M | kr -2.17M | kr 5.80M | kr 2.74M |
Purefun Group AB Forecast EPS vs Actual EPS
Currently, no data available
Please return soon. This page is being updated.