Consolidated cash flow statement in summary, Quarterly
Amounts in SEK million
Q2-2025 Q1-2025 Q4-2024 Q3-2024 Q2-2024 Q1-2024
Current operations
EBIT -191 -62 -27 39 30 5
Adjustment for non cash-flow items
Depreciation/amortisation and write-downs 176 35 39 30 34 30
Profit/loss from disposal of fixed assets
Profit from disposal of CO2 allowances
Write-downs of receivables
Other non cash-flow items 3 3 11 -2 6
EBIT adjusted for non-cash flow affecting items -12 -24 23 67 70 35
Received/paid financial items -6 -7 -6 -4 -1 0
Received/paid taxes 3 -45 1 -4 -15 -17
Cash flow from operating activities before change in working capital -15 -76 18 59 54 18
Change in working capital 55 -52 -83 -45 -48 42
CASH FLOW FROM OPERATING ACTIVITIES 40 -128 -65 14 6 60
Investment activities
Acquisition of fixed assets -30 -37 -130 -104 -134 -82
Acquisition of financial assets 0
Sale of fixed assets 0 0 0 -1 2
Change in interest-bearing receivables 0 0
Change in financial derivatives 3 1 2 6
CASH USED IN/PROVIDED BY INVESTING ACTIVITIES -30 -37 -127 -104 -130 -76
Financing activities
Proceeds from the issue of shares
New loans 0 346 59 4
Repayment of loans -18 -17 -65 -8 -9 -9
Change in overdraft facility 54 201 -138 91 50
Dividends paid 0 0 0 -76
CASH USED IN/PROVIDED BY FINANCING ACTIVITIES 36 184 143 142 45 -85
NET CASH FLOW FOR THE PERIOD 46 19 -49 52 -79 -101
Cash and cash equivalents at beginning of the period 37 19 68 16 95 196
Translation difference in cash and cash equivalents 0 -1 0 0 0 0
CASH AND CASH EQUIVALENTS AT END OF PERIOD 83 37 19 68 16 95
Updated: 2025-08-12