Cash flow statement

CONSOLIDATED CASH FLOW STATEMENT            
 

Q2

Q2

Jan-Jun

Jan-Jun

Q3'09- Q2'10

Full year

Amount in SEK thousands

2010

2009

2010

2009

12 mths

2009

Ongoing operations            
Net income before tax

11 672

11 096

17 685

21 128

28 173

31 616

Depreciation

6 109

5 736

12 133

11 265

25 723

24 855

Other items not affecting liquidity

644

774

1 645

1 827

4 153

4 335

Cash flow from ongoing operations            
before change in working capital

18 425

17 606

31 463

34 220

58 049

60 806

             
Change in working capital            
Increase-/decrease+ in inventories

-412

3 743

1 802

8 914

-3 646

3 466

Increase-/decrease+ in receivables

8 821

-32 426

-18 710

-38 156

-3 193

-22 639

Increase+/decrease- in current liabilities

-10 285

-9 169

8 146

-13 610

10 664

-11 092

Cash flow from ongoing operations

16 549

-20 246

22 701

-8 632

61 874

30 541

             
Investment activity            
Acquisitions of intangible fixed assets

-13 045

-13 736

-25 852

-26 412

-51 112

-51 672

Acquisitions of tangible fixed assets

-68

-391

-271

-1 085

-808

-1 622

Acquistion of net assets

0

0

59 990

0

59 990

0

Increase-/decrease+ in long-term receivables

-142

-105

-145

-299

265

111

Cash flow from investment activity

-13 255

-14 232

33 722

-27 796

8 335

-53 183

             
Financing activity            
New share issued - employee stock option program

0

0

0

22 897

0

22 897

Cash flow from financing activity

0

0

0

22 897

0

22 897

             
Increase/decrease in liquid funds

3 294

-34 478

56 423

-13 531

70 209

255

Liquid funds, opening balance

205 128

172 691

151 999

151 744

138 213

151 744

Liquid funds, closing balance

208 422

138 213

208 422

138 213

208 422

151 999

© 2009 Net Insight AB        Privacy policy     Site map