Interim Report, January – March 2022
PERIOD JANUARY 1 – MARCH 31, 2022 · Net sales of SEK 120 m (101 m) · Recurring revenues of SEK 77 m (66 m) · which corresponds to % of net sales 64 % (65 %) · EBITDA SEK 17 m (20 m) · EBITDA margin 14 % (19 %) · EBIT 4 m (6 m) · EBIT margin 3 % (6 %) · Net profit SEK 1 m (4 m) · Net profit margin 1 % (4 %) · EPS before dilution SEK 0.02 (0.08) · Cash flow from operating activities SEK 13 m (6 m) · ACV SEK 9 m (7 m) · ARR SEK 315 m (271 m)