SAS AB
F:SSV2

Watchlist Manager
SAS AB Logo
SAS AB
F:SSV2
Watchlist
Price: 0.0003 EUR Market Closed
Market Cap: €3.6m

Cash Flow Statement

Cash Flow Statement
SAS AB

Rotate your device to view
Cash Flow Statement
Currency: SEK
Apr-2014 Jul-2014 Oct-2014 Jan-2015 Apr-2015 Jul-2015 Oct-2015 Jan-2016 Apr-2016 Jul-2016 Oct-2016 Jan-2017 Apr-2017 Jul-2017 Oct-2017 Jan-2018 Apr-2018 Jul-2018 Oct-2018 Jan-2019 Apr-2019 Jul-2019 Oct-2019 Jan-2020 Apr-2020 Jul-2020 Oct-2020 Jan-2021 Apr-2021 Jul-2021 Oct-2021 Jan-2022 Apr-2022 Jul-2022 Oct-2022 Jan-2023 Apr-2023 Jul-2023 Oct-2023 Jan-2024 Apr-2024
Operating Cash Flow
Net Income
1 553
1 189
(918)
(1 608)
(175)
100
1 417
1 944
1 716
1 721
1 431
1 043
708
1 645
1 725
2 137
1 857
1 918
2 050
1 759
1 031
487
794
283
(2 223)
(5 784)
(10 097)
(10 925)
(9 585)
(8 797)
(6 525)
(7 207)
(6 382)
(7 090)
(7 846)
(7 698)
(7 555)
(5 107)
(5 516)
(4 137)
(5 791)
Depreciation & Amortization
1 481
1 409
1 347
1 396
1 463
1 452
1 455
1 525
1 432
1 426
1 367
1 353
1 429
1 435
1 635
1 661
1 647
1 708
1 763
1 829
1 910
2 054
1 924
2 874
3 827
5 727
6 703
6 599
6 423
5 083
4 817
4 735
4 665
4 724
4 763
4 728
4 665
4 591
4 440
4 381
4 411
Other Non-Cash Items
(2 439)
(2 341)
58
1 022
257
599
(239)
(374)
364
148
8
197
140
(645)
(633)
(793)
(528)
77
(256)
(372)
(597)
(593)
(360)
(141)
977
(90)
(84)
(703)
(1 840)
(413)
(372)
980
1 341
1 713
2 900
1 290
1 059
1 112
1 318
1 756
2 932
Cash Taxes Paid
0
(1)
1
0
0
0
(1)
1
1
1
0
0
0
22
26
68
68
48
45
50
56
54
53
23
17
17
18
3
3
3
2
0
0
0
0
0
0
0
0
0
0
Change in Working Capital
(273)
787
609
769
634
228
403
(223)
360
514
857
1 294
1 027
412
(284)
(13)
430
894
1 002
477
1 327
1 016
960
1 539
(2 127)
(817)
(1 698)
(5 648)
(5 312)
(4 696)
(2 676)
1 568
4 305
3 060
1 955
1 881
2 062
2 169
2 185
2 074
3 884
Cash from Operating Activities
322
N/A
1 044
+224%
1 096
+5%
1 579
+44%
2 179
+38%
2 379
+9%
3 036
+28%
2 872
-5%
3 872
+35%
3 809
-2%
3 663
-4%
3 887
+6%
3 304
-15%
2 847
-14%
2 443
-14%
2 992
+22%
3 406
+14%
4 597
+35%
4 559
-1%
3 693
-19%
3 671
-1%
2 964
-19%
3 318
+12%
4 555
+37%
454
-90%
(964)
N/A
(5 176)
-437%
(10 677)
-106%
(10 314)
+3%
(8 823)
+14%
(4 756)
+46%
76
N/A
3 929
+5 070%
2 407
-39%
1 772
-26%
201
-89%
231
+15%
2 765
+1 097%
2 427
-12%
4 074
+68%
5 436
+33%
Investing Cash Flow
Capital Expenditures
(1 326)
(1 316)
(1 237)
(1 589)
(1 959)
(2 464)
(4 078)
(4 922)
(5 966)
(6 330)
(5 786)
(5 878)
(6 123)
(7 157)
(7 242)
(7 823)
(7 908)
(7 177)
(6 829)
(6 686)
(5 571)
(6 153)
(6 191)
(7 034)
(9 448)
(8 862)
(7 632)
(5 330)
(3 621)
(3 601)
(4 101)
(1 615)
(1 438)
(1 529)
(5 093)
(4 024)
(4 314)
(3 498)
(4 007)
(4 776)
(4 920)
Other Items
758
406
756
809
1 174
1 659
2 965
4 238
5 201
4 702
3 171
3 399
3 779
6 233
7 155
7 342
6 452
4 275
4 150
2 520
1 662
2 894
1 611
1 723
1 706
382
445
246
311
1 783
2 564
312
1 803
1 977
5 842
1 311
1 735
240
4 111
5 476
5 560
Cash from Investing Activities
(568)
N/A
(910)
-60%
(481)
+47%
(780)
-62%
(785)
-1%
(805)
-3%
(1 113)
-38%
(684)
+39%
(765)
-12%
(1 628)
-113%
(2 615)
-61%
(2 479)
+5%
(2 344)
+5%
(924)
+61%
(87)
+91%
(481)
-453%
(1 456)
-203%
(2 902)
-99%
(2 679)
+8%
(4 166)
-56%
(3 909)
+6%
(3 259)
+17%
(4 580)
-41%
(5 311)
-16%
(7 742)
-46%
(8 480)
-10%
(7 187)
+15%
(5 084)
+29%
(3 310)
+35%
(1 818)
+45%
(1 537)
+15%
(1 303)
+15%
365
N/A
448
+23%
749
+67%
1 024
+37%
1 158
+13%
479
-59%
104
-78%
700
+573%
640
-9%
Financing Cash Flow
Net Issuance of Common Stock
3 500
3 500
3 500
3 500
0
0
0
0
0
0
0
0
0
0
0
1 222
(1 356)
(1 356)
(1 356)
(3 690)
(1 112)
(1 112)
(1 112)
0
0
0
5 910
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
2 992
722
(1 443)
(442)
(2 731)
(867)
(1 815)
(2 530)
(2 020)
(1 860)
(278)
(1 022)
(405)
(1 151)
(798)
(1 357)
(1 902)
(147)
932
2 635
1 230
592
(70)
(937)
4 539
8 285
3 608
3 174
1 406
(3 624)
(31)
(614)
3
(684)
2 336
1 683
(2 075)
(1 331)
(4 390)
(2 385)
(2 477)
Cash Paid for Dividends
0
(88)
(175)
(262)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(350)
(288)
(228)
(167)
(79)
(53)
(26)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other
0
0
168
0
0
0
1 028
0
0
0
(252)
0
0
0
(739)
0
0
0
(311)
0
0
0
1 477
1 044
62
59
4 317
4 814
6 507
6 535
360
545
(241)
(449)
(482)
(1 087)
(2 241)
(1 616)
(645)
(2 382)
(1 414)
Cash from Financing Activities
6 128
N/A
3 770
-38%
2 050
-46%
2 964
+45%
(2 913)
N/A
(1 049)
+64%
(1 137)
-8%
(1 852)
-63%
(1 342)
+28%
(1 182)
+12%
(880)
+26%
(1 624)
-85%
(1 007)
+38%
(1 753)
-74%
(1 887)
-8%
(485)
+74%
(3 608)
-644%
(1 791)
+50%
(963)
+46%
(1 533)
-59%
(272)
+82%
(884)
-225%
269
N/A
107
-60%
4 601
+4 200%
8 344
+81%
13 835
+66%
13 898
+0%
13 823
-1%
8 821
-36%
329
-96%
(69)
N/A
(238)
-245%
(1 133)
-376%
1 854
N/A
596
-68%
(4 316)
N/A
(2 947)
+32%
(5 035)
-71%
(4 767)
+5%
(3 891)
+18%
Change in Cash
Effect of Foreign Exchange Rates
(1)
0
1
2
0
(2)
(5)
(4)
(6)
(3)
4
2
3
1
(3)
(1)
2
1
3
2
1
2
0
1
(4)
(4)
(4)
(4)
0
0
1
2
2
2
11
14
12
18
10
10
8
Net Change in Cash
5 881
N/A
3 904
-34%
2 666
-32%
3 765
+41%
(1 519)
N/A
523
N/A
781
+49%
332
-57%
1 759
+430%
996
-43%
172
-83%
(214)
N/A
(44)
+79%
171
N/A
466
+173%
2 025
+335%
(1 656)
N/A
(95)
+94%
920
N/A
(2 004)
N/A
(509)
+75%
(1 177)
-131%
(993)
+16%
(648)
+35%
(2 691)
-315%
(1 104)
+59%
1 468
N/A
(1 867)
N/A
199
N/A
(1 820)
N/A
(5 963)
-228%
(1 294)
+78%
4 058
N/A
1 724
-58%
4 386
+154%
1 835
-58%
(2 915)
N/A
315
N/A
(2 494)
N/A
17
N/A
2 193
+12 800%
Free Cash Flow
Free Cash Flow
(1 004)
N/A
(272)
+73%
(141)
+48%
(10)
+93%
220
N/A
(85)
N/A
(1 042)
-1 126%
(2 050)
-97%
(2 094)
-2%
(2 521)
-20%
(2 123)
+16%
(1 991)
+6%
(2 819)
-42%
(4 310)
-53%
(4 799)
-11%
(4 831)
-1%
(4 502)
+7%
(2 580)
+43%
(2 270)
+12%
(2 993)
-32%
(1 900)
+37%
(3 189)
-68%
(2 873)
+10%
(2 479)
+14%
(8 994)
-263%
(9 826)
-9%
(12 808)
-30%
(16 007)
-25%
(13 935)
+13%
(12 424)
+11%
(8 857)
+29%
(1 539)
+83%
2 491
N/A
878
-65%
(3 321)
N/A
(3 823)
-15%
(4 083)
-7%
(733)
+82%
(1 580)
-116%
(702)
+56%
516
N/A