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Clemondo Group AB (DE:N170)
FRANKFURT:N170
Germany Market

Clemondo Group AB (N170) Cash flow

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Clemondo Group AB Cash Flow

DE:N170's free cash flow for Q4 2024 was kr6.86M. For the 2024 fiscal year, DE:N170's free cash flow was decreased by kr-21.14M and operating cash flow was kr8.37M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 9.82Mkr 27.20Mkr 9.10Mkr 28.23Mkr 68.62M
Investing Cash Flow
kr -4.05Mkr -286.00Kkr -31.00Kkr -1.10Mkr -4.25M
Financing Cash Flow
kr -6.90Mkr -25.79Mkr -10.16Mkr -26.04Mkr -64.37M
End Cash Position
kr 0.00kr 1.13Mkr 0.00kr 1.09Mkr 0.00
Free Cash Flow
kr 5.78Mkr 26.91Mkr 8.61Mkr 27.13Mkr 64.22M
Currency in SEK

Clemondo Group AB Cash Flow

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