Interim report Jan-June 2021
Clinics build experienceSecond Quarter 2021 · Revenue amounted to SEK 411 (6,263) thousand, of which SEK 383 (5,787) thousand were capitalized costs. · Loss after tax amounted to SEK-18,263 (-5,516) thousand. · Loss per share SEK -0.30 (-0.18). · Cash and cash equivalents amounted to SEK 48,339 (7,177) thousand. First half of 2021 · Revenues amounted to SEK 816 (12,531) thousand, of which SEK 762 (12,090) thousand capitalized costs. · Cash flow from operating activities amounted to SEK -23,999 (-13,107) thousand. · Profit after tax amounted to SEK -35,519 (-12,