Telefonaktiebolaget LM Ericsson
NASDAQ:ERIC

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Telefonaktiebolaget LM Ericsson
NASDAQ:ERIC
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Price: 10.68 USD 2.4%
Market Cap: $35.6B

Cash Flow Statement

Cash Flow Statement
Telefonaktiebolaget LM Ericsson

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Cash Flow Statement
Currency: SEK
Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025 Dec-2025
Operating Cash Flow
Net Income
4 120
2 455
14 915
17 623
18 511
19 826
20 026
22 980
22 724
23 474
23 068
19 112
17 775
12 528
(23 323)
(26 104)
(25 066)
(35 468)
(1 096)
374
1 978
17 603
25 022
28 714
Depreciation & Amortization
11 209
8 765
8 671
8 537
8 489
8 430
8 710
8 656
9 180
9 307
9 560
10 482
11 428
12 017
12 380
11 973
11 512
11 594
10 885
10 020
10 539
9 821
9 658
9 241
Other Non-Cash Items
3 481
2 745
4 368
6 378
7 700
8 690
9 877
8 487
8 299
8 646
6 732
7 156
7 952
6 111
38 821
39 737
38 610
51 077
19 195
20 597
20 471
9 178
3 227
1 552
Cash Taxes Paid
0
0
0
4 313
(202)
1 659
2 935
4 094
5 642
4 803
4 818
5 600
5 510
5 939
6 333
5 368
5 705
5 860
5 817
6 304
6 259
5 921
5 540
7 009
Cash Interest Paid
0
0
0
1 434
292
553
664
974
893
1 069
1 154
1 250
1 628
1 740
2 143
2 280
2 988
3 116
3 043
3 043
2 517
2 539
2 341
2 205
Change in Working Capital
2 365
3 271
(12 428)
(3 605)
(6 864)
(8 619)
(841)
(1 058)
(4 313)
(5 190)
(13 196)
(5 887)
(12 147)
(14 817)
(15 288)
(18 429)
(6 979)
3 032
14 246
15 270
12 556
3 816
(3 947)
(6 553)
Cash from Operating Activities
21 175
N/A
17 236
-19%
15 526
-10%
28 933
+86%
27 836
-4%
28 327
+2%
37 772
+33%
39 065
+3%
35 890
-8%
36 237
+1%
26 164
-28%
30 863
+18%
25 008
-19%
15 839
-37%
12 590
-21%
7 177
-43%
18 077
+152%
30 235
+67%
43 230
+43%
46 261
+7%
45 544
-2%
40 418
-11%
33 960
-16%
32 954
-3%
Investing Cash Flow
Capital Expenditures
(8 038)
(6 261)
(5 847)
(5 310)
(5 054)
(4 789)
(4 889)
(4 625)
(4 612)
(4 693)
(4 981)
(6 197)
(6 620)
(6 634)
(6 418)
(5 470)
(4 761)
(4 419)
(3 921)
(3 640)
(3 856)
(3 584)
(3 557)
(3 768)
Other Items
(534)
(7 099)
(5 563)
(9 891)
(6 050)
(12 940)
(20 850)
(15 258)
89
29 218
(20 228)
(28 200)
(39 833)
(64 156)
(7 383)
(3 243)
(7 663)
(11 579)
(10 511)
(12 312)
(9 450)
(14 597)
(11 173)
(7 669)
Cash from Investing Activities
(8 572)
N/A
(13 360)
-56%
(11 410)
+15%
(15 201)
-33%
(11 104)
+27%
(17 729)
-60%
(25 739)
-45%
(19 883)
+23%
(4 523)
+77%
24 525
N/A
(25 209)
N/A
(34 397)
-36%
(46 453)
-35%
(70 790)
-52%
(13 801)
+81%
(8 713)
+37%
(12 424)
-43%
(15 998)
-29%
(14 432)
+10%
(15 952)
-11%
(13 306)
+17%
(18 181)
-37%
(14 730)
+19%
(11 437)
+22%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
163
0
0
0
42
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
6
Net Issuance of Debt
(3 586)
(2 977)
(2 492)
(6 660)
(7 534)
(239)
(252)
(277)
12 631
(4 616)
(8 943)
(7 867)
(15 808)
(7 734)
273
8 987
698
2 522
(5 151)
(14 794)
(6 431)
(6 547)
(2 507)
(5 255)
Cash Paid for Dividends
(4 459)
(2 654)
(2 555)
(4 985)
(5 992)
(6 831)
(6 950)
(6 658)
(6 884)
(7 720)
(7 638)
(8 325)
(8 415)
(8 842)
(8 772)
(8 991)
(8 991)
(9 111)
(9 110)
(8 997)
(9 233)
(9 332)
(9 325)
(9 545)
Other
2 576
2 815
1 142
(1 010)
(6 564)
(4 173)
(5 703)
(2 414)
(1 165)
(1 862)
(332)
262
(241)
(466)
1 840
1 011
1 573
1 242
(431)
(74)
(436)
2 004
1 005
571
Cash from Financing Activities
(5 469)
N/A
(2 816)
+49%
(3 905)
-39%
(12 492)
-220%
(20 090)
-61%
(11 243)
+44%
(12 905)
-15%
(9 307)
+28%
4 624
N/A
(14 156)
N/A
(16 871)
-19%
(15 930)
+6%
(24 464)
-54%
(17 042)
+30%
(6 659)
+61%
1 007
N/A
(6 720)
N/A
(5 347)
+20%
(14 692)
-175%
(23 865)
-62%
(16 100)
+33%
(13 875)
+14%
(10 827)
+22%
(14 223)
-31%
Change in Cash
Effect of Foreign Exchange Rates
2 824
(904)
(2 619)
(2 707)
(4 446)
(1 737)
(1 427)
563
322
3 739
6 189
3 763
3 186
706
(1 979)
(2 630)
(1 218)
(2 485)
(3 683)
2 251
(3 396)
(3 478)
(3 031)
(7 253)
Net Change in Cash
9 958
N/A
156
-98%
(2 408)
N/A
(1 467)
+39%
(7 804)
-432%
(2 382)
+69%
(2 299)
+3%
10 438
N/A
36 313
+248%
50 345
+39%
(9 727)
N/A
(15 701)
-61%
(42 723)
-172%
(71 287)
-67%
(9 849)
+86%
(3 159)
+68%
(2 285)
+28%
6 405
N/A
10 423
+63%
8 695
-17%
12 742
+47%
4 884
-62%
5 372
+10%
41
-99%
Free Cash Flow
Free Cash Flow
13 137
N/A
10 975
-16%
9 679
-12%
23 623
+144%
22 782
-4%
23 538
+3%
32 883
+40%
34 440
+5%
31 278
-9%
31 544
+1%
21 183
-33%
24 666
+16%
18 388
-25%
9 205
-50%
6 172
-33%
1 707
-72%
13 316
+680%
25 816
+94%
39 309
+52%
42 621
+8%
41 688
-2%
36 834
-12%
30 403
-17%
29 186
-4%