Brief: Enea Q1 Operating Cash Flow Up At SEK 120 Mln
April 25 (Reuters) - Enea AB ENEA.ST :
* DURING Q1 REACHED 120 MSEK (97) IN OPERATING CASH FLOW
* Q1 NET DEBT HAS REDUCED TO 133 MSEK (264)
* DECIDED TO CONTINUE WITH SHARE BUYBACK PROGRAM
* BUY-BACK DECISIONS WILL BE MADE AFTER AGM IN MAY 2024
* In 2024 SEES CONTINUED STRONG CASH FLOW, AN EBITDA MARGIN
OF
OVER 30%
Source text for Eikon: ID:nMFNzRGfk
Further company coverage: ENEA.ST
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