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Senzime AB (SNZZF)
:SNZZF
US Market

Senzime AB (SNZZF) Cash flow

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Senzime AB Cash Flow

SNZZF's free cash flow for Q1 2025 was kr-37.33M. For the 2025 fiscal year, SNZZF's free cash flow was decreased by kr-4.55M and operating cash flow was kr-32.30M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21Dec 20
Operating Cash Flow
kr -105.94Mkr -113.91Mkr -136.78Mkr -81.33Mkr -38.34M
Investing Cash Flow
kr -20.34Mkr -7.82Mkr -4.98Mkr -2.97Mkr -327.00K
Financing Cash Flow
kr 75.86Mkr 246.51Mkr 92.36Mkr -945.00Kkr 167.69M
End Cash Position
kr 100.94Mkr 151.01Mkr 26.04Mkr 74.87Mkr 160.31M
Free Cash Flow
kr -126.28Mkr -121.73Mkr -141.89Mkr -84.30Mkr -38.66M
Currency in SEK

Senzime AB Cash Flow

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