A STRONG FINISH TO A TRANSFORMATIVE YEAR, FOURTH QUARTER 2023
“Humble Group continues to grow and we take market shares through increased distribution, more products and new collaborations in international markets. With an operational cash flow of SEK 285 million (246), we see the result from the continued focus to optimize the flow of goods. Thanks to the improved capital structure and lowered interest costs, we begin to form a picture of how we will be able to generate a positive free cash flow going forward that can be used for value-creating activities, something I have personally had as a milestone since the foundation of the Group. Net sales of