Thunderful Group AB

SSE:THUNDR.ST

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

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

2024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q3
Operating Activities:
Net Income -40.5-236.2-587.131.2-57.822.2152.520.2-13.2-1.263.860.427.517.248.961.626.833.1123.847.2
Depreciation & Amortization 64.2137.7676.758.156.247.936.539.159.938.542.730.529.124.719.713.31414.88.35
Deferred Income Tax 00000000000000000000
Stock Based Compensation 00000000000000000000
Change In Working Capital 525.2-74.7271.4-127.2-63.233.9275.2-88-84.1293.6-99-168.4-111.827.3-165.3-59.848.9-120.8127.2-48
Accounts Receivables -259.4243.5-74.276.2-160.4340.7-120.6-158-53.8544.4-475.5-114.751.7291.3-58-324.3168.361.5-612.1-220.7
Change In Inventory -135130.394.6-22.2-56.3-22.7208.470.3-10038.8188.3-201.4-147.5-107.4333.4-317.3-95.847.968.1-143.2
Change In Accounts Payables 488.6-501.7266.1-194.3159.1-255.7240.3-16.6100-313.6161.2200.8-41.6-154.6000000
Other Working Capital 43153.2-15.113.1-5.6-28.4-52.916.3-30.3254.8-287.33335.7134.7-498.7257.5144.7-168.759.195.2
Other Non Cash Items -138.2420.91,010.1-24.135.3-39.7-57.9-42.7-2.7-128.211.1-8.5-8.2-3.310.5-3.14.9-36.1-26-9.7
Operating Cash Flow 410.7-155.6304.2-62-29.564.3406.3-71.4-40.1202.718.6-86-63.465.9-86.21294.6-109233.3-5.5
Investing Activities:
Investments In Property Plant And Equipment -53.5-44.6-60-83.2-93.7-101.8-64.1-51.9-61.5-53.5-59.4-27.6-24.6-16.1-2.2-14.2-4.3-11.1-19.30
Acquisitions Net 00-31.90-2-21.8-70.2000-131.7-8.10-49.1-123.4000-2.50
Purchases Of Investments 0000001.6-20-0.1-2.6-0.90-0.1000000
Sales Maturities Of Investments 0000009.100058.425.5014.6000000
Other Investing Activites 298.3-44.4-57.70.431.9-69-9.1-53.1-56.9-48.1-58.4-25.5-16.7-11.2-0.4-11.1-3.8-3.901.4
Investing Cash Flow 244.8-44.6-60-82.8-63.8-123.6-132.7-53.9-61.5-53.6-193.7-36.6-24.6-61.9-126-14.2-4.3-11.1-21.81.4
Financing Activities:
Debt Repayment -573.90000000000000000000
Common Stock Issued 0001.10000000000743.700000
Common Stock Repurchased 00000000000000000000
Dividends Paid 000000000000000000-180
Other Financing Activities -17.6-3-59.3275.656.9108.2-6.1168.50.4227.8113.428-3.5-3.5-263.313.6-80.995.9-1735.9
Financing Cash Flow -591.558.5-70.3133.835.269.1-255.874.3-10-42.6113.428-3.5-3.5480.413.6-80.995.9-1735.9
Other Information:
Effect Of Forex Changes On Cash 0.73.4-1.8-2.236.35.6-8.319.917.35.8-7.39.1-3.44-11000.10.30
Net Change In Cash 64.8-138.2172.1-13.2-21.815.49.7-31.3-94.3112.3-69-85.5-94.94.5257.211.49.4-24.138.91.8
Cash At End Of Period 135.770.9209.13750.27256.646.978.2172.560.2129.2214.7309.6305.147.936.527.151.212.3