Cash flow statements per quarter, accumulated - Group

GROUP, SEK m Q1 2024 Q1-Q4 2023 Q1-Q3 2023 Q1-Q2 2023 Q1 2023
Profit or loss before tax -496.8 -2,535.2 -1,995.3 -1,724.7 -627.3
Depreciation/impairments 22.3 52.8 34.9 32.3 20.0
Items affecting comparability - -187.8 - - -
Change in value, investment properties 758.8 4,042.4 2,854.3 2,295.0 906.4
Change in value, interest rate derivatives 0.2 - - - -
Other changes -2.0 -2.4 -3.6 -3.0 -0.5
Income tax paid -25.4 -70.4 -59.3 -38.9 -26.5
Cash flow from operating activities before changes in working capital 257.1 1,299.4 831.0 560.7 272.1
Increase/decrease in inventory 21.9 -38.2 -27.0 -3.1 -4.7
Increase/decrease in operating receivables -201.4 -9.6 -62.6 -76.4 -174.3
Increase/decrease in operating liabilities 92.5 133.7 -49.0 77.0 212.0
Cash flow from operating activities 170.1 1,385.3 692.4 558.2 305.1
Investments in properties -248.4 -1,238.3 -814.5 -585.1 -268.9
Investment in other non-current assets -5.6 -62.7 -53.2 -31.9 -14.9
Acquisition of business - - - - -
Sale of equipment - - - - -
Cash flow from investing activities -254.0 -1,301.0 -867.7 -617.0 -283.8
Dividend paid -546.2 -546.2 -546.2 -546.2 -546.2
Borrowings 1,200.0 5,200.0 4,500.0 3,200.0 1,500.0
Amortization of loan debt -600.0 -4,800.0 -3,900.0 -2,500.0 -1,000.0
Amortization of lease debt -2.0 -8.7 -6.8 -4.9 -2.5
Share buyback - - - - -
Cash flow from financing activities 51.8 -154.9 47.0 148.9 -48.7
Cash flow for the period -32.1 -70.6 -128.3 90.1 -27.4
Cash and cash equivalents at the beginning of the period 382.4 453.0 453.0 453.0 453.0
Cash and cash equivalents at the end of the period 350.3 382.4 324.7 543.1 425.6