tbd30 INTERIM REPORT Q2 NOVEMBER – JANUARY
[] Q2 August - January 31 July 2021 November – JanuaryCash and current 840.6 840.6 million 851.5 millioninvestments[1] millionEquity 785.9 785.9 million 790.4 million millionOperating expenses -2.2 -5.6 million No comp. figures millionProfit/loss after tax -0.7 -4.5 million No comp. figures