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Nederman Holding AB (SE:NMAN)
:NMAN
Sweden Market

Nederman Holding AB (NMAN) Cash flow

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Nederman Holding AB Cash Flow

SE:NMAN's free cash flow for Q3 2025 was kr68.90M. For the 2025 fiscal year, SE:NMAN's free cash flow was decreased by kr-37.50M and operating cash flow was kr123.20M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 595.90Mkr 576.30Mkr 345.70Mkr 519.80Mkr 327.50M
Investing Cash Flow
kr -293.50Mkr -236.70Mkr -615.30Mkr -120.90Mkr -181.50M
Financing Cash Flow
kr -321.20Mkr -224.20Mkr 402.70Mkr -356.80Mkr -79.00M
End Cash Position
kr 825.20Mkr 815.20Mkr 721.20Mkr 541.60Mkr 466.80M
Free Cash Flow
kr 343.20Mkr 380.70Mkr 174.90Mkr 410.80Mkr 219.30M
Currency in SEK

Nederman Holding AB Cash Flow