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SLG B Safe Lane Gaming AB (publ) Cashflow Statement

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Annual cashflow statement for Safe Lane Gaming AB (publ), fiscal year end - December 31st, SEK millions except per share, conversion factor applied.

C2020
December 31st
2021
December 31st
R2022
December 31st
2023
December 31st
2024
December 31st
Period Length:12 M12 M12 M12 M12 M
Source:Interim ReportARSInterim ReportARSARS
Standards:
SAS
SAS
SAS
SAS
Status:FinalFinalFinalFinalFinal
Net Income/Starting Line-10.7-33.8-53-55.8-53.5
Non-Cash Items2.8732.347.655.350.6
Other Non-Cash Items
Changes in Working Capital39.540-174-13.43.6
Change in Accounts Receivable
Change in Other Liabilities
Other Operating Cash Flow
Cash from Operating Activities31.738.5-180-13.90.615
Capital Expenditures0-3.68-2.930
Purchase / Acquisition of Intangibles
Other Investing Cash Flow Items-22.9-12.729.10
Acquisition of Business
Sale of Business
Sale of Intangible Assets
Cash from Investing Activities-22.9-16.429.1-2.930
Financing Cash Flow Items0-1.614915.30
Other Financing Cash Flow
Net Issuance / Retirement of Stock
Net Issuance / Retirement of Debt
Cash from Financing Activities0.0251.512610.30
Beginning Cash Balance
Ending Cash Balance
Net Change in Cash8.8423.6-24.9-6.550.615