PERIOD 1 JANUARY – 30 SEPTEMBER 2011

  • Net sales SEK 78.0 million (83.3 million)
  • System income SEK 73.5 million (70.9 million)
  • Operating profit before depreciation/amortisation SEK 21.1 million (19.8 million)
  • Operating profit SEK 13.8 million (13.1 million)
  • Operating margin 17.7 % (15.7 %)
  • Net profit/loss after tax SEK 10.1 million (10.3 million)
  • Earnings per share before dilution SEK 0.83 (0.86)
  • Cash flow from operating activities SEK 15.6 million (1.5 million)
  • Exchange rate effects have had a negative impact on revenues and earnings of SEK 1.5 million and SEK 0.4 million respectively

PERIOD 1 JULY – 30 SEPTEMBER 2011

  • Net sales SEK 20.9 million (23.9 million)
  • System income SEK 19.8 million (21.2 million)
  • Operating profit before depreciation/amortisation SEK 5.4 million (4.6 million)
  • Operating profit SEK 2.7 million (2.4 million)
  • Operating margin 12.8 % (10.2 %)
  • Net profit/loss after tax SEK 2.0 million (1.7 million)
  • Earnings per share before dilution SEK 0.16 (0.14)
  • Cash flow from operating activities SEK 0.4 million (5.3 million)
  • Exchange rate effects have had a negative impact on revenues and earnings of SEK 0.4 million and SEK 0.1 million respectively

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