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Paxman AB (PXMBF)
OTHER OTC:PXMBF
US Market

Paxman AB (PXMBF) Cash flow

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Paxman AB Cash Flow

PXMBF's free cash flow for Q4 2024 was kr7.46M. For the 2024 fiscal year, PXMBF's free cash flow was decreased by kr25.69M and operating cash flow was kr15.69M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 39.10Mkr 15.63Mkr 2.69Mkr -4.14Mkr -8.48M
Investing Cash Flow
kr -24.50Mkr -25.33Mkr -36.69Mkr -24.45Mkr -6.32M
Financing Cash Flow
kr 721.00Kkr -3.41Mkr -169.00Kkr 97.28Mkr 16.78M
End Cash Position
kr 40.31Mkr 24.98Mkr 38.09Mkr 72.27Mkr 3.58M
Free Cash Flow
kr 15.99Mkr -9.70Mkr -33.01Mkr -27.94Mkr -14.80M
Currency in SEK

Paxman AB Cash Flow

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