Concejo AB (publ)

SSE:CNCJO-B.ST

31.05 (SEK) • At close February 20, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) SEK.

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 13.2-79.4-197.2-139.3-224.782.6123.6141.8175.2110.354.440.747.63545.174
Depreciation & Amortization 28.321.615.57.756115.552.355.336.337.630.335.436.434.430.427.1
Deferred Income Tax 0000000000000000
Stock Based Compensation 0000000000000000
Change In Working Capital -23.6-183.139-64.3-6.9-61.9-36.7-84.9-6123.9-26.7-4.7-42.6-26.414.9
Accounts Receivables -15.622.771-43.2126.6-152.6-0.629.5-81.9-32.5-27.712.80000
Inventory -52.1-37.431.919.153.2-39.6-66.5-85.8-20.9-48.5-4.111.1-12.2-9.621.7-15.3
Accounts Payables 15.64-14.3-19.6-271.479.813.7-22.518.30000000
Other Working Capital 28.59.7-5.582.727.332.74.649.1-64-12.528-37.87.5-33-48.130.2
Other Non Cash Items -1.82471.97.2293.2-227.9-150.5-67.3-48.7-28.8-39.8-47.3-37.3-7.60.7-11.2
Operating Cash Flow 16.1-34.8-26.7-85.460.2-36.7-36.593.177.958.168.82.14219.249.8104.8
Investing Activities:
Investments In Property Plant And Equipment -25.1-25.4-23.4-22.6-0.8-51.9-73.1-74.6-75.5-60-32.3-38.5-30.6-40-60.3-94.6
Acquisitions Net 1.8-57.6-160.32,383.41.81.3-11.8-185.4-81.6-113-12.6-0.7-0.4-11.1-16.22.5
Purchases Of Investments -44.7-81.5-166.4-1,034.6-0.642.7-3-5.3-122.10-5.8-75.60000
Sales Maturities Of Investments 145.4496.3396.71420.513.150.954.300-2667.20000
Other Investing Activites 79.3395185.41,365.3-65.4-6345.752.4-125.7-1.316.1-47-4.8-22.43.4-0.6
Investing Cash Flow 77.4331.846.61,340.2-44.5-57.8-39.2-207.6-282.8-174.3-60.6-47.6-35.8-73.5-73.1-92.7
Financing Activities:
Debt Repayment -42-31.4-142.4-1,766.8-40.3-21.4-37.2-17.8-434.4-58.5-5.5-196.6-0.20-4.2-2.3
Common Stock Issued 02.312080000000000005.2
Common Stock Repurchased 00-120-8000000000-0.100-0.2
Dividends Paid -0.50-175.5-198.900-32.7-31.3-14.6-4.7-2.90-5.9-4.1-5.8-8.2
Other Financing Activities -8.4-195.5306.8747.842.1-3.1192.6256617.445.767.9318.7046.72121.3
Financing Cash Flow -42.5-224.6-11.1-1,217.91.8-24.5122.7206.9168.44159.5122.1-6.242.61115.8
Other Information:
Effect Of Forex Changes On Cash -2.42.82.1-2.1-1.24-2.33.40.40000000
Net Change In Cash 48.675.210.934.8-2.2-116.343.595.8-36.1-75.267.776.60-11.7-12.327.9
Cash At End Of Period 176.8128.25342.17.392.3208.6165.169.3105.4180.6112.936.336.34860.3