Dentalum Operations AB (publ) publishes half year report, January -June 2022
Maintained profitability and continued growthSecond quarter, April - June 2022 · Operating revenue increased by 72.8 % to SEK 85.8 million (49.7). · EBITDA amounted to SEK 24.4 million (12.6) · Net earnings amounted to SEK 4.8 million (-0.4). · Operating cash flow amounted to SEK 25.3 million (12.6). Net cash flow totalled SEK – 46.7 million (-64.0). · Total equity amounts to SEK 262.0 million (101.5), cash balance of SEK 198.6 million (110.5) and interest-bearing debt of SEK 397.7 million (300.3). · During the period Dentalum acquired three (3) clinics with annual