Intea Fastigheter AB (publ) - Cash Flow Statement (TTM)

Intea Fastigheter AB (publ)
SE ˙ OM ˙ SE0017072259
73,00 kr ↓ -0.05 (-0.07%)
2025-09-01
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Cash Flow Statement (TTM)

Intea Fastigheter AB (publ) Cash Flow Statement shows changes in cash positions over time. Cash Flow Statement data includes Cash from Operating Activities (CFOP), Cash from Investing Activities, and Cash from Financing Activities.

All numbers are times 1,000,000 except per share units.

2020
09-30
2020
12-31
2021
03-31
2021
06-30
2021
09-30
2021
12-31
2022
03-31
2022
06-30
2022
09-30
2022
12-31
2023
03-31
2023
06-30
2023
09-30
2023
12-31
2024
03-31
2024
06-30
2024
09-30
2024
12-31
2025
03-31
2025
06-30
Cash From Operating Activities 154 176 87 169 365 273 500 485 389 590 632 626 635 537 373 463 416 378 720 806
Change (%) 14.83 -50.82 94.93 115.96 -25.21 82.91 -3.02 -19.70 51.55 7.03 -0.87 1.44 -15.43 -30.54 24.13 -10.15 -9.13 90.48 11.94
% of Cash Flow 175.66 70.15 -2,170.00 94.84 -1,740.00 -138.24 937.90 -1,191.15 255.45 3,470.59 -3,173.37 1,034.71 -1,070.83 4,881.82 291.41 395.73 526.58 2,362.50 -1,107.69 -1,343.33
Cash From Investing Activities -983 -434 -2,655 -2,716 -2,535 -5,412 -3,365 -3,502 -3,825 -1,803 -2,317 -2,706 -2,394 -2,489 -1,993 -1,253 -1,187 -1,487 -1,558 -2,555
Change (%) -55.86 512.08 2.31 -6.64 113.45 -37.82 4.07 9.22 -52.85 28.48 16.80 -11.54 3.97 -19.93 -37.13 -5.27 25.27 4.77 63.99
% of Cash Flow -1,122.93 -172.38 66,365.00 -1,522.31 12,073.05 2,737.33 -6,313.70 8,604.42 -2,509.71 -10,607.65 11,642.71 -4,473.06 4,037.10 -22,627.27 -1,557.03 -1,070.94 -1,502.53 -9,293.75 2,396.92 4,258.33
Cash From Financing Activities 916 509 2,564 2,725 2,149 4,941 2,919 2,976 3,588 1,230 1,666 2,141 1,701 1,962 1,746 906 847 1,125 773 1,689
Change (%) -44.47 403.89 6.29 -21.14 129.91 -40.93 1.98 20.54 -65.71 35.37 28.56 -20.57 15.36 -11.01 -48.11 -6.51 32.82 -31.29 118.50
% of Cash Flow 1,047.09 202.23 -64,095.00 1,527.47 -10,233.33 -2,499.09 5,475.80 -7,313.27 2,354.27 7,237.06 -8,369.35 3,539.17 -2,867.96 17,836.36 1,364.06 774.36 1,072.15 7,031.25 -1,189.23 -2,815.00
Cash Flow 88 252 -4 178 -21 -198 53 -41 152 17 -20 60 -59 11 128 117 79 16 -65 -60
Change (%) 187.54 -101.59 -4,560.00 -111.77 841.43 -126.96 -176.36 -474.45 -88.85 -217.06 -404.02 -198.02 -118.55 1,063.64 -8.59 -32.48 -79.75 -506.25 -7.69
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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