Cash flow – Full year

MSEK 2023 2022 2021 2020 2019
Profit/Loss before tax 192,5 251,6 307,9 132,2 114,5
Tax paid and items not affecting liquidity 33,0 39,1 43,4 28,1 47,8
Working capital changes 40,6 – 182,9 – 75,4 33,4 17,7
Cash flow from operating activities 266,1 107,8 275,9 193,7 180,0
           
Investments in tangible assets – 37,2 – 58,6 – 31,1 – 32,7 – 22,4
Investments in intangible assets – 12,9 – 16,1 – 16,5 – 11,0 – 10,0
Sale of tangible assets 0,6 0,7
Change of other financial assets – 0,1 0,5 – 1,1 0,5
Acquisition of subsidariy – 12,6 – 77,3 – 152,3
Cash flow from investing activities – 49,5 – 87,4 – 123,7 – 44,8 – 184,2
           
Cash flow after investments 216,6 20,4 152,2 148,9 – 4,2
           
Change of overdraft – 21,3
New share issue 0,4
Amorization of debts – 46,0 – 38,7 – 99,0 – 27,8 – 19,0
Payment of dividend – 105,8 – 105,8 – 63,5 – 48,6 – 40,3
Cash flow from financing activities – 151,8 – 144,5 – 162,5 – 76,4 – 80,2
           
Cash flow for the period 64,8 – 124,1 – 10,3 72,5 – 84,4
           
Cash and cash equivalents at the beginning of the year 69,6 193,9 203,5 131,1 215,5
Effect of exchange rate changes 0,8 – 0,1 0,6 – 0,2
Cash and cash equivalents at the end of the year 135,2 69,6 193,9 203,5 131,1