SBB, Interim Report January – September 2019: Cash flow increased by 99 percent

SAMHÄLLSBYGGNADSBOLAGET I NORDEN AB (PUBL): Interim Report January – September 2019 in brief:

· Rental income increased to SEK 1,400m (1,227).
· The operating surplus increased to SEK 903m (797).
· Cash flow from operating activities before changes of working capital increased by 99 percent to SEK 507m (255).
·  Profit before tax was increased to SEK 1,526m (1,204), of which:  
· Income from property management is included with SEK 508m (294). The income from property management includes costs for the early redemption of loans and other non-recurring financing costs of

Source: SBB, Interim Report January – September 2019: Cash flow increased by 99 percent

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