Dec 24 | Dec 23 | Dec 22 | Dec 21 | Dec 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | kr 630.63M | kr 803.10M | kr 910.46M | kr 744.59M | kr 820.18M |
Gross Profit | kr 264.18M | kr 315.38M | kr 412.93M | kr 340.71M | kr 331.34M |
Operating Income | kr -17.18M | kr -18.80M | kr 29.47M | kr 38.26M | kr 4.96M |
EBITDA | kr 7.53M | kr 7.57M | kr 68.89M | kr 43.44M | kr 37.13M |
Net Income | kr -19.15M | kr -16.19M | kr 19.14M | kr 59.68M | kr -2.17M |
Balance Sheet | |||||
Cash & Short-Term Investments | kr 36.91M | kr 53.70M | kr 104.03M | kr 114.28M | kr 41.37M |
Total Assets | kr 237.76M | kr 306.30M | kr 409.88M | kr 404.27M | kr 412.09M |
Total Debt | kr 61.30M | kr 71.38M | kr 90.16M | kr 95.25M | kr 122.34M |
Net Debt | kr 24.40M | kr 17.68M | kr -13.87M | kr -19.03M | kr 80.98M |
Total Liabilities | kr 169.25M | kr 219.42M | kr 277.22M | kr 262.55M | kr 311.84M |
Stockholders' Equity | kr 68.50M | kr 86.87M | kr 132.66M | kr 141.72M | kr 100.25M |
Cash Flow | |||||
Free Cash Flow | kr 3.19M | kr -7.00K | kr 49.49M | kr 19.59M | kr 40.89M |
Operating Cash Flow | kr 3.19M | kr 924.00K | kr 57.59M | kr 21.83M | kr 60.43M |
Investing Cash Flow | kr 252.00K | kr -586.00K | kr -8.33M | kr 83.38M | kr -17.19M |
Financing Cash Flow | kr -20.37M | kr -51.24M | kr -61.17M | kr -32.49M | kr -7.42M |