REPORT ON THE FOURTH QUARTER 2022
STRONG OPERATING CASH FLOW FOURTH QUARTER 2022 · Net sales were SEK 6,172 m (5,542); an increase of 11%, of which -11% was organic growth. · Operating profit (EBITA) bef. items affecting comparability was SEK 430 m (632), corresponding to a margin of 7.0% (11.4%). · Items affecting comparability were SEK -32 m (-37). · Profit for the quarter was SEK 27 m (197). · Earnings per share were SEK 0.09 (0.62). Adjusted earnings per share were SEK 0.54 (0.98). · Cash flow for the quarter was SEK 331 m (-5,593). Operating cash flow was SEK 1,117 m (546). · Net debt to