Interim report January-September 2018
PROFIT IMPACTED BY PROJECT IMPAIRMENTSJuly–September 2018 · Income amounted to SEK 1,359 million (1,271), an increase of 7 percent · The operating loss amounted to SEK 40 million (profit 67) · The loss for the period amounted to SEK 55 million (profit 51) · Earnings per share after dilution amounted to a negative SEK 2.42 (2.18) · Cash flow from operating activities amounted to a negative SEK 9 million (84) · Order bookings amounted to SEK 1,236 million (691) · During the quarter, Construction was impacted negatively by project impairments of SEK 70 million January-
