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Fasadgruppen Group AB (SE:FG)
:FG
Sweden Market

Fasadgruppen Group AB (FG) Cash flow

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Fasadgruppen Group AB Cash Flow

SE:FG's free cash flow for Q4 2024 was kr154.60M. For the 2024 fiscal year, SE:FG's free cash flow was decreased by kr-144.30M and operating cash flow was kr154.60M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 285.40Mkr 529.10Mkr 312.80Mkr 201.70Mkr 125.20M
Investing Cash Flow
kr -838.70Mkr -216.40Mkr -973.00Mkr -669.00Mkr -480.60M
Financing Cash Flow
kr 563.30Mkr -284.30Mkr 832.00Mkr 325.60Mkr 718.10M
End Cash Position
kr 482.30Mkr 467.60Mkr 452.60Mkr 271.60Mkr 409.30M
Free Cash Flow
kr 285.40Mkr 429.70Mkr 255.70Mkr 154.50Mkr 99.40M
Currency in SEK

Fasadgruppen Group AB Cash Flow

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