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Humble Group AB
STO:HUMBLE

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Humble Group AB
STO:HUMBLE
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Price: 12.17 SEK -1.06%
Market Cap: 5.4B SEK
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Cash Flow Statement

Cash Flow Statement
Humble Group AB

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Cash Flow Statement
Currency: SEK
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
(54)
(88)
(152)
(254)
(216)
(582)
(760)
(900)
1
236
490
669
(61)
(33)
2
116
Depreciation & Amortization
27
61
132
256
77
723
949
1 154
247
36
(187)
(438)
341
341
344
347
Other Non-Cash Items
0
(1)
(6)
4
136
119
149
171
155
143
186
306
304
312
282
153
Cash Taxes Paid
0
0
0
(10)
11
16
19
40
33
35
39
35
54
65
78
103
Cash Interest Paid
0
0
0
0
28
68
104
146
154
172
186
223
216
189
175
138
Change in Working Capital
14
(27)
(41)
(73)
(149)
(148)
(207)
(333)
(148)
24
390
548
504
345
(156)
(177)
Cash from Operating Activities
(13)
N/A
(54)
-314%
(67)
-24%
(67)
0%
(152)
-128%
112
N/A
131
+17%
92
-30%
255
+177%
439
+72%
879
+100%
1 085
+23%
1 088
+0%
965
-11%
472
-51%
439
-7%
Investing Cash Flow
Capital Expenditures
(153)
(279)
(84)
(48)
(12)
179
(27)
(34)
(63)
(66)
(65)
(81)
(161)
(167)
(204)
(217)
Other Items
(84)
(8)
(441)
(1 297)
(2 196)
(2 584)
(2 686)
(2 169)
(985)
(929)
(586)
(382)
(262)
(172)
(148)
12
Cash from Investing Activities
(237)
N/A
(287)
-21%
(524)
-83%
(1 345)
-156%
(2 208)
-64%
(2 404)
-9%
(2 714)
-13%
(2 203)
+19%
(1 048)
+52%
(995)
+5%
(651)
+35%
(463)
+29%
(423)
+9%
(339)
+20%
(352)
-4%
(205)
+42%
Financing Cash Flow
Net Issuance of Common Stock
0
198
683
1 398
3
1 321
1 349
530
532
2
347
347
875
875
0
0
Net Issuance of Debt
33
291
267
947
1 370
1 119
1 198
952
376
374
(286)
(1 150)
(1 260)
(1 356)
(587)
(223)
Other
293
0
0
0
1 321
1 280
1 233
1 192
(155)
357
354
316
(216)
(189)
(175)
(138)
Cash from Financing Activities
326
N/A
488
+50%
950
+95%
2 345
+147%
2 694
+15%
2 399
-11%
2 458
+2%
1 353
-45%
753
-44%
733
-3%
415
-43%
(487)
N/A
(601)
-23%
(670)
-11%
(762)
-14%
(361)
+53%
Change in Cash
Effect of Foreign Exchange Rates
4
(3)
(2)
3
3
8
10
5
(1)
1
3
6
(1)
1
(3)
(6)
Net Change in Cash
80
N/A
145
+81%
357
+146%
936
+162%
337
-64%
115
-66%
(114)
N/A
(753)
-558%
(41)
+95%
178
N/A
646
+263%
141
-78%
63
-55%
(43)
N/A
(645)
-1 400%
(133)
+79%
Free Cash Flow
Free Cash Flow
(166)
N/A
(333)
-101%
(150)
+55%
(114)
+24%
(164)
-43%
291
N/A
104
-64%
58
-44%
192
+231%
373
+94%
814
+118%
1 004
+23%
927
-8%
798
-14%
268
-66%
222
-17%

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