Interim report January-March 2023
STABLE IN A SHRINKING MARKETJanuary-March 2023 · Order bookings amounted to SEK 1,303 million (1,837) · Income amounted to SEK 2,116 million (2,052) · Operating profit amounted to SEK 1 million (36) · Cash flow from operating activities amounted to an outflow of SEK 441 million (5) · Cash flow for the period amounted to an outflow of SEK 65 million (28) · The loss for the period amounted to SEK 10 million (profit 55) · At the end of the period, available cash and cash equivalents totaled SEK 549 million (624) · The equity/assets ratio was 30.1 percent (31.7) ·