Dec 24 | Dec 23 | Dec 22 | Dec 21 | Dec 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | kr 29.31B | kr 28.66B | kr 31.90B | kr 26.20B | kr 21.17B |
Gross Profit | kr 29.31B | kr 14.56B | kr 18.38B | kr 13.06B | kr 10.88B |
Operating Income | kr 10.33B | kr 9.70B | kr 8.03B | kr 17.44B | kr 4.74B |
EBITDA | kr 11.87B | kr 9.96B | kr 9.49B | kr 7.94B | kr 5.79B |
Net Income | kr 6.30B | kr 7.25B | kr 5.77B | kr 11.37B | kr 3.59B |
Balance Sheet | |||||
Cash & Short-Term Investments | kr 1.28B | kr 2.03B | kr 2.79B | kr 2.21B | kr 1.61B |
Total Assets | kr 224.40B | kr 216.10B | kr 211.75B | kr 202.52B | kr 180.01B |
Total Debt | kr 20.55B | kr 19.65B | kr 20.84B | kr 22.14B | kr 21.03B |
Net Debt | kr 19.28B | kr 17.62B | kr 18.05B | kr 19.93B | kr 19.42B |
Total Liabilities | kr 57.69B | kr 55.77B | kr 57.82B | kr 55.35B | kr 51.29B |
Stockholders' Equity | kr 113.73B | kr 107.56B | kr 99.82B | kr 99.58B | kr 85.25B |
Cash Flow | |||||
Free Cash Flow | kr 1.73B | kr 8.28B | kr 7.36B | kr 4.79B | kr 2.98B |
Operating Cash Flow | kr 7.67B | kr 9.89B | kr 8.74B | kr 6.49B | kr 4.14B |
Investing Cash Flow | kr -5.88B | kr -5.16B | kr -4.26B | kr -4.56B | kr -4.67B |
Financing Cash Flow | kr -2.55B | kr -5.50B | kr -3.91B | kr -1.34B | kr -493.00M |