Fastighets AB Balder
STO:BALD B

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Fastighets AB Balder Logo
Fastighets AB Balder
STO:BALD B
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Price: 81.02 SEK -1.98% Market Closed
Market Cap: 91B SEK
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Cash Flow Statement

Cash Flow Statement
Fastighets AB Balder

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Cash Flow Statement
Currency: SEK
Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 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 Sep-2024
Operating Cash Flow
Net Income
1 615
1 766
1 867
1 913
1 922
1 944
2 307
2 722
3 186
3 679
3 841
3 946
4 088
4 220
4 338
4 545
4 722
4 890
5 084
5 282
5 455
5 643
5 844
6 011
6 168
6 216
6 255
6 296
6 484
6 744
7 021
7 319
7 530
7 796
8 090
8 378
8 704
8 914
9 090
9 270
9 432
Depreciation & Amortization
17
18
19
18
18
15
15
14
14
26
28
31
33
19
17
16
15
20
26
32
38
42
42
41
41
41
42
43
43
45
47
49
50
52
57
61
66
71
77
85
91
Other Non-Cash Items
(708)
(143)
(794)
(805)
(752)
(183)
(871)
(1 036)
(1 231)
(471)
(1 502)
(1 496)
(1 534)
(535)
(1 562)
(1 608)
(1 668)
(595)
(1 707)
(1 949)
(1 993)
(657)
(2 053)
(1 952)
(1 942)
(787)
(2 096)
(2 302)
(2 393)
(895)
(2 662)
(2 722)
(2 720)
(1 056)
(3 044)
(3 438)
(3 856)
(4 209)
(4 608)
(4 785)
(4 919)
Cash Taxes Paid
3
11
0
14
11
(4)
50
71
132
160
130
235
191
235
351
273
340
345
306
347
329
321
337
350
344
310
307
277
302
342
317
384
416
491
665
613
581
555
283
306
273
Cash Interest Paid
0
617
0
0
0
618
0
0
0
1 001
0
0
0
1 075
0
0
0
1 209
0
0
0
1 596
0
0
0
1 442
0
0
0
1 892
0
0
0
2 388
0
0
0
0
0
0
0
Change in Working Capital
(187)
(300)
81
74
195
(1 013)
(194)
(1)
110
(343)
210
179
(31)
(1 214)
(151)
96
237
(649)
424
227
401
(1 819)
(796)
(1 182)
(995)
1 049
272
(324)
8
(4 368)
(662)
(1)
(507)
(1 742)
(781)
1 622
1 582
81
1 101
(1 151)
(1 360)
Cash from Operating Activities
737
N/A
1 341
+82%
1 173
-13%
1 200
+2%
1 383
+15%
763
-45%
1 257
+65%
1 699
+35%
2 079
+22%
2 891
+39%
2 577
-11%
2 660
+3%
2 556
-4%
2 490
-3%
2 642
+6%
3 049
+15%
3 306
+8%
3 666
+11%
3 827
+4%
3 592
-6%
3 901
+9%
3 209
-18%
3 037
-5%
2 918
-4%
3 272
+12%
6 519
+99%
4 473
-31%
3 713
-17%
4 142
+12%
1 526
-63%
3 744
+145%
4 645
+24%
4 353
-6%
5 050
+16%
4 322
-14%
6 623
+53%
6 496
-2%
4 857
-25%
5 660
+17%
3 419
-40%
3 244
-5%
Investing Cash Flow
Capital Expenditures
(7)
(6)
(7)
(10)
(11)
(4)
(17)
(20)
(17)
(41)
(32)
(33)
(38)
(27)
(28)
(29)
(32)
(44)
(62)
(80)
(89)
(85)
(77)
(52)
(39)
(36)
(41)
(45)
(60)
(70)
(70)
(99)
(94)
(138)
(134)
(125)
(128)
(187)
(189)
(170)
(165)
Other Items
(8 405)
(6 702)
(5 739)
(4 794)
(5 133)
(5 631)
(5 766)
(7 639)
(7 190)
(8 360)
(8 577)
(3 861)
(6 664)
(6 188)
(7 525)
(12 169)
(10 963)
(11 391)
(13 196)
(13 126)
(12 764)
(15 782)
(15 960)
(13 741)
(14 165)
(16 957)
(23 689)
(24 480)
(34 295)
(29 809)
(22 496)
(23 243)
(14 270)
(12 777)
(11 963)
(10 615)
(8 185)
(6 022)
(6 432)
(3 532)
(4 456)
Cash from Investing Activities
(8 412)
N/A
(6 708)
+20%
(5 746)
+14%
(4 804)
+16%
(5 144)
-7%
(5 635)
-10%
(5 783)
-3%
(7 659)
-32%
(7 207)
+6%
(8 401)
-17%
(8 609)
-2%
(3 894)
+55%
(6 702)
-72%
(6 215)
+7%
(7 553)
-22%
(12 198)
-61%
(10 995)
+10%
(11 435)
-4%
(13 258)
-16%
(13 206)
+0%
(12 853)
+3%
(15 867)
-23%
(16 037)
-1%
(13 793)
+14%
(14 204)
-3%
(16 993)
-20%
(23 730)
-40%
(24 525)
-3%
(34 355)
-40%
(29 879)
+13%
(22 566)
+24%
(23 342)
-3%
(14 364)
+38%
(12 915)
+10%
(12 097)
+6%
(10 740)
+11%
(8 313)
+23%
(6 209)
+25%
(6 621)
-7%
(3 702)
+44%
(4 621)
-25%
Financing Cash Flow
Net Issuance of Common Stock
1 357
220
(1)
0
0
1 705
1 705
2 125
2 807
1 102
1 102
682
0
(3 500)
(3 500)
(3 500)
(3 500)
0
0
0
0
0
0
0
0
2 930
2 930
2 930
0
0
0
0
0
1 778
1 778
1 778
1 778
0
1 167
1 167
1 167
Net Issuance of Debt
6 651
5 339
5 331
4 063
4 325
3 788
6 123
4 283
3 692
5 382
3 660
2 982
8 157
7 786
7 732
10 722
6 773
7 181
9 447
9 826
12 972
13 616
14 052
13 758
11 908
10 615
16 633
27 182
24 786
25 241
19 231
9 770
10 037
8 847
9 973
1 945
(253)
(170)
(2 905)
(1 856)
2 585
Cash Paid for Dividends
(182)
(200)
(200)
(200)
(200)
(200)
(200)
(200)
(200)
(200)
(200)
(200)
(200)
(150)
(100)
(50)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other
0
0
1
0
0
0
(107)
(107)
(108)
(107)
(219)
(218)
(415)
(417)
(199)
(334)
(135)
(135)
(135)
(134)
(136)
(137)
(121)
12
14
18
1
(126)
(122)
(124)
(121)
(123)
(129)
(128)
(131)
(39)
(41)
(42)
918
945
947
Cash from Financing Activities
7 827
N/A
5 359
-32%
5 131
-4%
3 863
-25%
4 125
+7%
5 293
+28%
7 521
+42%
6 101
-19%
6 191
+1%
6 177
0%
4 343
-30%
3 246
-25%
7 542
+132%
3 719
-51%
3 933
+6%
6 838
+74%
3 138
-54%
7 046
+125%
9 312
+32%
9 692
+4%
12 836
+32%
13 479
+5%
13 931
+3%
13 770
-1%
11 922
-13%
13 563
+14%
19 564
+44%
29 986
+53%
27 594
-8%
25 117
-9%
19 110
-24%
9 647
-50%
9 908
+3%
10 497
+6%
11 620
+11%
3 684
-68%
1 484
-60%
(212)
N/A
(820)
-287%
256
N/A
4 699
+1 736%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
69
32
56
67
5
57
45
46
53
115
60
(12)
3
(82)
(49)
Net Change in Cash
152
N/A
(8)
N/A
558
N/A
259
-54%
364
+41%
421
+16%
2 995
+611%
141
-95%
1 063
+654%
667
-37%
(1 689)
N/A
2 012
N/A
3 396
+69%
(6)
N/A
(978)
-16 200%
(2 311)
-136%
(4 551)
-97%
(723)
+84%
(119)
+84%
78
N/A
3 884
+4 879%
821
-79%
931
+13%
2 895
+211%
990
-66%
3 089
+212%
376
-88%
9 206
+2 348%
(2 563)
N/A
(3 169)
-24%
293
N/A
(8 993)
N/A
(58)
+99%
2 678
N/A
3 898
+46%
(318)
N/A
(273)
+14%
(1 576)
-477%
(1 778)
-13%
(109)
+94%
3 273
N/A
Free Cash Flow
Free Cash Flow
730
N/A
1 335
+83%
1 166
-13%
1 190
+2%
1 372
+15%
759
-45%
1 240
+63%
1 679
+35%
2 062
+23%
2 850
+38%
2 545
-11%
2 627
+3%
2 518
-4%
2 463
-2%
2 614
+6%
3 020
+16%
3 274
+8%
3 622
+11%
3 765
+4%
3 512
-7%
3 812
+9%
3 124
-18%
2 960
-5%
2 866
-3%
3 233
+13%
6 483
+101%
4 432
-32%
3 668
-17%
4 082
+11%
1 456
-64%
3 674
+152%
4 546
+24%
4 259
-6%
4 912
+15%
4 188
-15%
6 498
+55%
6 368
-2%
4 670
-27%
5 471
+17%
3 249
-41%
3 079
-5%

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