Måndag 2 Juni | 16:11:56 Europe / Stockholm

Prenumeration

2025-05-30 16:00:00

Summary of the period January – March 2025

  • Total revenue 244 092 KSEK (247 959 KSEK)
  • EBITDA 14 542 KSEK (8 965 KSEK)
  • Operating result -3513 KSEK (-10 279 KSEK)
  • Cash flow 6 889 KSEK (7 752 KSEK)
  • Net debt/ EBITDA 3,6 (N/A)
  • Cash position 12% (N/A)


CEO Johan Nyrén comments

Cost reductions in terms of our operations is ongoing during the quarter. Customer interaction through our on-line solutions continues to increase in comparison to traditional booking patterns. New customer implementations during the quarter are above 85% regarding digital conversion. This has enabled us to further streamline the organization and the structure. Additional FTE reduction in conjunction with lower cost for office space will be fully realized during Q2-Q3 2025.