ProfilGruppen AB (publ)

SSE:PROF-B.ST

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Operating Activities:
Net Income 90.8123.1178.636.4113.2113.7103.969.122.90.9-2639.610.621.9-13.79.340.20023.915.84.9
Depreciation & Amortization 90.884.177.466.757.749.337.23521.921.725.527.40000048.83633.535.937.1
Deferred Income Tax 0000000000000000000000
Stock Based Compensation 0000000000000000000000
Change In Working Capital 225.8-119.9-113.190.1-21.3-5.2-38-13.2-23.7-3.8-5.411.6-14.4-33.410.1-27.49.4-20.52.1-37.920.2-2.6
Accounts Receivables 35.434.7-168.136.27.3-22.9-57-38.2-5.4-13.7-4.630.70000000000
Inventory 93.6-56.2-172.8-10.315.4-66.3-34.9-16-3.3-19.4-1.79.6-15-16.644.25.2-31.7-20.52.1-22.35.714.2
Accounts Payables 0-98.4227.864.2-4484041-150000000000000
Other Working Capital 96.8-98.4227.864.2-4461.1-3.12.8-20.415.6-3.700.6-16.8-34.1-32.641.100-15.614.5-16.8
Other Non Cash Items 2221.4-18.1-13.8-38.9-28-17.6-6.1-7.98.6-4.10.825.429.93213.528.853.750.215.415.937.9
Operating Cash Flow 429.4108.7124.8179.4110.7129.885.584.813.227.4-1051.221.618.428.4-4.678.48288.334.987.877.3
Investing Activities:
Investments In Property Plant And Equipment -78.7-104.2-92-92.7-232.1-120-69.9-40.8-68.4-15.6-12-14.8-58.9-13-21.1-48.4-25.200-48.1-15.9-48
Acquisitions Net 000000.10.202.10000000000000
Purchases Of Investments 00000000000000000-16.4-0.1000
Sales Maturities Of Investments 0000003.80000.500000000000
Other Investing Activites 7.300-0.8-9.20.10.202.10.30.6-6.429.46.10.61.97-13.2-22.52.41.92.2
Investing Cash Flow -71.4-104.2-92-92.7-232.1-119.9-65.9-40.8-66.3-15.3-10.9-6.4-29.5-6.9-20.5-46.5-18.2-29.6-22.6-45.7-14-45.8
Financing Activities:
Debt Repayment -213.4000000000000000000000
Common Stock Issued 00000001.500000000000000
Common Stock Repurchased 0000000000000000000000
Dividends Paid -34.1-106.2-15.30-36.9-35.4-22.200000-7.40-4.9-17.8-13.800-7.2-4.3-2.9
Other Financing Activities -9.7123.9-27.8-32.7180.840.118.8-2764.238.932.4-44.5-1.239.2049.2-0.7-56.7-41.336.5-17.52.7
Financing Cash Flow -257.2-13.1-70.8-48.6124.9-11.8-3.7-42.762.4-13.421.4-44.5-33.428.4-10.618.9-50.9-56.7-41.310.1-70-15.1
Other Information:
Effect Of Forex Changes On Cash 0.10.21.3-2.90.30.10.70.7-1.10.10.1-0.5-0.1-1.70.30.10.6-0.80.9-0.2-2-2.6
Net Change In Cash 100.9-8.4-36.735.23.8-1.816.628.2-1.20.6-0.2-41.339-2.4-32.19.9-14.615.7-0.91.813.8
Cash At End Of Period 120.92028.465.129.926.127.911.39.31.12.31.71.943.24.26.638.729.145.227.728.626.8