IAR Systems Group AB Year-end-report 2015
Net sales of SEK 312m, EBITDA of SEK 98m Operating margin of 27%, cash flow of SEK 99m Full-year 2015 · Net sales of SEK 311.7m (255.7) · EBITDA of SEK 98.3m (63.6), corresponding to an EBITDA margin of 31.5% (24.9) · Operating profit of SEK 83.4m (53.2), corresponding to an operating margin of 26.8% (20.8) · Profit before tax of SEK 83.3m (53.6) · Earnings per share of SEK 6.33 (4.15) after current tax · Basic earnings per share of SEK 5.02 (3.37) and diluted earnings per share of SEK 5.02m (3.35) · Cash flow from operating activities of SEK 98.7m (70.3) ·