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Lagercrantz Group AB
STO:LAGR B

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Lagercrantz Group AB
STO:LAGR B
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Price: 199.6 SEK -1.19%
Market Cap: 39B SEK
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Cash Flow Statement

Cash Flow Statement
Lagercrantz Group AB

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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
460
448
452
462
502
589
641
693
741
793
851
911
968
1 013
1 057
1 089
1 116
1 141
1 175
Depreciation & Amortization
234
0
0
0
245
0
0
0
313
0
0
0
389
0
0
0
448
0
0
Other Non-Cash Items
(12)
172
164
220
19
161
180
123
21
57
133
353
25
534
458
385
25
461
559
Cash Taxes Paid
79
0
0
0
120
0
0
0
188
0
0
186
255
262
325
276
265
303
338
Cash Interest Paid
18
0
0
0
19
0
0
0
21
0
0
0
66
0
0
0
0
0
0
Change in Working Capital
(175)
21
26
8
16
(73)
(111)
(160)
(481)
(395)
(431)
(444)
(312)
(193)
(153)
(107)
(262)
(326)
(416)
Cash from Operating Activities
507
N/A
641
+26%
642
+0%
690
+7%
782
+13%
677
-13%
710
+5%
656
-8%
594
-9%
455
-23%
553
+22%
820
+48%
1 070
+30%
1 354
+27%
1 362
+1%
1 367
+0%
1 327
-3%
1 276
-4%
1 318
+3%
Investing Cash Flow
Capital Expenditures
(96)
(82)
(74)
(78)
(90)
79
65
62
(123)
(129)
(135)
(143)
(178)
(162)
(153)
(136)
(125)
(109)
(130)
Other Items
(255)
(204)
(144)
(145)
(325)
49
26
90
(642)
(810)
(1 006)
(1 051)
(839)
(638)
(437)
(537)
(1 168)
(942)
(1 060)
Cash from Investing Activities
(351)
N/A
(286)
+19%
(218)
+24%
(223)
-2%
(415)
-86%
128
N/A
91
-29%
152
+67%
(765)
N/A
(939)
-23%
(1 141)
-22%
(1 194)
-5%
(1 017)
+15%
(800)
+21%
(590)
+26%
(673)
-14%
(1 293)
-92%
(1 051)
+19%
(1 190)
-13%
Financing Cash Flow
Net Issuance of Common Stock
(17)
0
0
0
(9)
(23)
(23)
(52)
(52)
0
0
0
155
0
0
0
0
(55)
(55)
Net Issuance of Debt
100
0
0
0
0
0
0
0
493
0
0
0
589
0
556
278
470
493
803
Cash Paid for Dividends
(169)
0
0
0
(135)
0
(204)
(204)
(212)
(206)
(267)
(110)
(286)
(286)
(391)
(547)
(329)
(329)
(351)
Other
(92)
(318)
(402)
(469)
(189)
782
963
966
(5)
502
756
428
(371)
(898)
(984)
(576)
(188)
(230)
(575)
Cash from Financing Activities
(178)
N/A
(318)
-79%
(402)
-26%
(469)
-17%
(333)
+29%
759
N/A
736
-3%
710
-4%
224
-68%
523
+133%
716
+37%
574
-20%
87
-85%
(440)
N/A
(664)
-51%
(690)
-4%
(47)
+93%
(121)
-157%
(178)
-47%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
1
6
8
13
15
10
23
9
(5)
7
(11)
(4)
Net Change in Cash
(22)
N/A
37
N/A
22
-41%
(2)
N/A
34
N/A
1 564
+4 500%
1 537
-2%
1 519
-1%
59
-96%
47
-20%
141
+200%
215
+52%
150
-30%
137
-9%
117
-15%
(1)
N/A
(6)
-500%
93
N/A
(54)
N/A
Free Cash Flow
Free Cash Flow
411
N/A
559
+36%
568
+2%
612
+8%
692
+13%
756
+9%
775
+3%
718
-7%
471
-34%
326
-31%
418
+28%
677
+62%
892
+32%
1 192
+34%
1 209
+1%
1 231
+2%
1 202
-2%
1 167
-3%
1 188
+2%

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