PERIOD 1 JANUARY – 31 MARCH 2011
- Net sales SEK 29.4 million (31.4 million)
- System income SEK 27.6 million (26.3 million)
- Operating profit before depreciation SEK 8.7 million (8.7 million)
- Operating profit SEK 6.6 million (6.4 million)
- Operating margin 22.4 % (20.4 %)
- Net profit/loss for the year after tax SEK 4.9 million (5.1 million)
- Earnings per share before dilution SEK 0.41 (0.44)
- Cash flow from operating activities SEK 12.6 million (2.7 million)
- Exchange rate effects have had a negative impact on revenue and earnings of SEK 0.9 million and SEK 0.3 million respectively