Pandox AB (publ) year-end report January–December 2022
Strong cash flow and reinstated dividend October–December 2022 · Revenue from Property Management amounted to MSEK 848 (648). For comparable units, the increase was 25 percent, adjusted for currency effects · Net operating income from Property Management amounted to MSEK 698 (542). For comparable units, the increase was 22 percent, adjusted for currency effects · Net operating income from Operator Activities amounted to MSEK 184 (26) · EBITDA amounted to MSEK 829 (521), an increase of 59 percent · Cash earnings amounted to MSEK 515 (196), equivalent to SEK 2.80 (1.07)