ARJO B Cash Flow Statement - Arjo AB (publ) - Alpha Spread

Arjo AB (publ)
STO:ARJO B

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Arjo AB (publ)
STO:ARJO B
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Price: 43.66 SEK 0.18% Market Closed
Market Cap: 11.9B SEK
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Cash Flow Statement

Cash Flow Statement
Arjo AB (publ)

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Cash Flow Statement
Currency: SEK
Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
838
730
850
866
951
996
1 063
1 077
1 056
944
808
691
636
664
723
884
927
970
Depreciation & Amortization
1 246
994
978
973
1 035
955
958
956
974
1 001
1 032
985
1 105
1 124
1 146
1 062
1 035
1 015
Other Non-Cash Items
(89)
(36)
18
68
51
52
(6)
(6)
29
0
48
(9)
(88)
(106)
(170)
(20)
15
(39)
Cash Taxes Paid
242
164
126
132
115
118
125
132
191
228
232
233
249
181
183
166
97
152
Cash Interest Paid
0
0
0
101
0
0
0
89
0
0
0
116
0
0
0
250
0
0
Change in Working Capital
(456)
28
16
360
287
70
(77)
(293)
(575)
(732)
(785)
(842)
(492)
(152)
149
135
69
(84)
Cash from Operating Activities
1 539
N/A
1 716
+12%
1 862
+9%
2 267
+22%
2 255
-1%
2 073
-8%
1 938
-7%
1 734
-11%
1 484
-14%
1 213
-18%
1 103
-9%
827
-25%
1 161
+40%
1 530
+32%
1 848
+21%
2 061
+12%
2 046
-1%
1 862
-9%
Investing Cash Flow
Capital Expenditures
0
0
0
(807)
0
0
0
(760)
0
0
0
(557)
0
0
0
(403)
0
0
Other Items
(976)
(732)
(737)
(165)
(919)
(982)
(941)
65
(779)
(788)
(842)
(256)
(907)
(827)
(789)
(234)
(164)
(124)
Cash from Investing Activities
(976)
N/A
(732)
+25%
(737)
-1%
(972)
-32%
(919)
+5%
(982)
-7%
(941)
+4%
(695)
+26%
(779)
-12%
(788)
-1%
(842)
-7%
(813)
+3%
(907)
-12%
(827)
+9%
(789)
+5%
(637)
+19%
(567)
+11%
(527)
+7%
Financing Cash Flow
Net Issuance of Debt
(618)
(698)
(467)
(544)
(1 266)
(1 102)
(1 033)
(1 196)
(229)
496
(187)
204
(261)
(1 171)
(1 234)
(1 300)
(1 394)
(1 371)
Cash Paid for Dividends
(150)
0
(177)
(177)
(177)
(409)
(232)
(232)
(232)
(313)
(313)
(313)
(313)
(232)
(232)
(232)
(232)
(245)
Other
40
(87)
(201)
(242)
(138)
(46)
62
151
166
159
209
245
198
280
286
105
68
(4)
Cash from Financing Activities
(728)
N/A
(785)
-8%
(845)
-8%
(963)
-14%
(1 581)
-64%
(1 557)
+2%
(1 203)
+23%
(1 277)
-6%
(295)
+77%
342
N/A
(291)
N/A
136
N/A
(376)
N/A
(1 123)
-199%
(1 180)
-5%
(1 427)
-21%
(1 558)
-9%
(1 620)
-4%
Change in Cash
Effect of Foreign Exchange Rates
25
5
(11)
(22)
(25)
(19)
1
22
24
72
98
42
39
11
(50)
(22)
(21)
(41)
Net Change in Cash
(140)
N/A
204
N/A
269
+32%
310
+15%
(270)
N/A
(485)
-80%
(205)
+58%
(216)
-5%
434
N/A
839
+93%
68
-92%
192
+182%
(83)
N/A
(409)
-393%
(171)
+58%
(25)
+85%
(100)
-300%
(326)
-226%
Free Cash Flow
Free Cash Flow
1 539
N/A
1 716
+12%
1 862
+9%
1 460
-22%
2 255
+54%
2 073
-8%
1 938
-7%
974
-50%
1 484
+52%
1 213
-18%
1 103
-9%
270
-76%
1 161
+330%
1 530
+32%
1 848
+21%
1 658
-10%
2 046
+23%
1 862
-9%

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