Interim Report January - June 2021
APRIL − JUNE 2021 · Net sales increased by 30.3 % to SEK 1,488 million (1,142) · Operating profit amounted to SEK 38 million (34) · Profit after financial items amounted to SEK 16 million (7) · Profit after tax amounted to SEK 9 million (4) · Earnings per share amounted to SEK 0.03 (0.04) · Cash flow from operating activities amounted to SEK -158 million (257) In 2021, non-recurring items impacted the profit after financial items by SEK -43 million (-30). · EBITDA excluding non-recurring items amounted to SEK 144 million (128) · Net debt amounted to SEK 1,