Bonava AB (publ)
STO:BONAV B

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Bonava AB (publ)
STO:BONAV B
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Price: 7.76 SEK 0.65% Market Closed
Market Cap: 2.5B SEK
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Cash Flow Statement

Cash Flow Statement
Bonava 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 Sep-2024
Operating Cash Flow
Net Income
836
567
630
999
989
1 065
1 231
1 020
1 134
1 336
1 204
(92)
(254)
(1 364)
(2 273)
(1 297)
(1 374)
(710)
(325)
Depreciation & Amortization
0
0
0
228
0
0
0
223
0
0
0
176
0
0
0
132
0
0
0
Other Non-Cash Items
80
526
541
351
636
537
526
14
303
(104)
(115)
591
822
1 538
2 606
1 533
1 337
842
42
Cash Taxes Paid
428
128
(22)
184
141
366
360
265
271
165
125
149
137
171
204
139
193
137
114
Change in Working Capital
(713)
1 244
2 108
2 212
1 545
889
35
(538)
(1 700)
(2 529)
(3 703)
(3 917)
(2 934)
(2 118)
(906)
(705)
117
386
933
Cash from Operating Activities
203
N/A
2 337
+1 051%
3 279
+40%
3 790
+16%
3 170
-16%
2 491
-21%
1 792
-28%
719
-60%
(263)
N/A
(1 297)
-393%
(2 614)
-102%
(3 242)
-24%
(2 366)
+27%
(1 944)
+18%
(573)
+71%
(337)
+41%
80
N/A
518
+548%
650
+25%
Investing Cash Flow
Capital Expenditures
0
0
0
(108)
0
0
0
(100)
0
0
0
(107)
0
0
0
(209)
0
0
0
Other Items
(544)
(531)
(566)
(20)
(111)
(92)
(52)
12
(85)
(72)
(131)
3
(158)
513
557
1 263
1 116
444
452
Cash from Investing Activities
(544)
N/A
(531)
+2%
(566)
-7%
(128)
+77%
(111)
+13%
(92)
+17%
(52)
+43%
(88)
-69%
(85)
+3%
(72)
+15%
(131)
-82%
(104)
+21%
(158)
-52%
513
N/A
557
+9%
1 054
+89%
1 116
+6%
444
-60%
452
+2%
Financing Cash Flow
Net Issuance of Common Stock
0
(19)
(19)
(19)
0
0
0
0
0
0
0
0
0
0
0
0
1 014
1 014
1 014
Net Issuance of Debt
937
(1 650)
(1 771)
(2 659)
(2 778)
(1 328)
(1 179)
(354)
682
1 158
2 453
2 771
2 588
2 023
280
(833)
(2 101)
(1 527)
(1 892)
Cash Paid for Dividends
0
0
0
0
0
(391)
(391)
(563)
0
(360)
(360)
(375)
0
0
0
0
0
0
0
Other
84
65
9
2
2
(9)
(3)
(70)
(8)
15
18
90
24
14
0
0
2
1
1
Cash from Financing Activities
461
N/A
(1 884)
N/A
(2 061)
-9%
(2 676)
-30%
(2 795)
-4%
(1 728)
+38%
(1 573)
+9%
(987)
+37%
111
N/A
813
+632%
2 111
+160%
2 486
+18%
2 237
-10%
1 850
-17%
95
-95%
(833)
N/A
(1 087)
-30%
(514)
+53%
(877)
-71%
Change in Cash
Effect of Foreign Exchange Rates
(16)
(21)
(58)
(98)
(35)
(44)
2
35
3
166
156
97
102
(59)
(110)
(6)
30
15
57
Net Change in Cash
104
N/A
(99)
N/A
594
N/A
888
+49%
229
-74%
627
+174%
169
-73%
(321)
N/A
(234)
+27%
(390)
-67%
(478)
-23%
(763)
-60%
(185)
+76%
360
N/A
(31)
N/A
(122)
-294%
139
N/A
463
+233%
282
-39%
Free Cash Flow
Free Cash Flow
203
N/A
2 337
+1 051%
3 279
+40%
3 682
+12%
3 170
-14%
2 491
-21%
1 792
-28%
619
-65%
(263)
N/A
(1 297)
-393%
(2 614)
-102%
(3 349)
-28%
(2 366)
+29%
(1 944)
+18%
(573)
+71%
(546)
+5%
80
N/A
518
+548%
650
+25%

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