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Stenhus Fastigheter i Norden AB (SE:SFAST)
:SFAST
Sweden Market

Stenhus Fastigheter i Norden AB (SFAST) Cash flow

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Stenhus Fastigheter i Norden AB Cash Flow

SE:SFAST's free cash flow for Q3 2024 was kr38.57M. For the 2024 fiscal year, SE:SFAST's free cash flow was decreased by kr55.21M and operating cash flow was kr38.74M. See a summary of the company’s cash flow.
Cash Flow
Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr 345.15Mkr 292.90Mkr 192.86Mkr 28.96M
Investing Cash Flow
kr 527.86Mkr -782.11Mkr -4.75Bkr -1.56B
Financing Cash Flow
kr -861.23Mkr 449.75Mkr 4.44Bkr 1.98B
End Cash Position
kr 306.19Mkr 294.41Mkr 333.87Mkr 451.58M
Free Cash Flow
kr 343.55Mkr 288.34Mkr 192.28Mkr 28.93M
Currency in SEK

Stenhus Fastigheter i Norden AB Cash Flow

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