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Quarterly key figures

January 1 – March 31, 2025
2025 2024 Δ
Net sales of SEK 139 m (125 m) 11%
Recurring revenues of SEK 112m (102 m) 10%
which corresponds to % of net sales 80 % (81 %)
EBITDA SEK 30 m (21 m) 41%
EBITDA margin 22 % (17 %)
EBIT-adj 13 m 4 m 187%
EBIT-adj margin 9 % (4 %)
EBIT 5 m (4 m) 1%
EBIT margin 3 % (4 %)
Net profit SEK 5 m (2 m) 188%
Net profit margin 4 % (1 %)
EPS before dilution SEK 0.09 (0.03) 187%
Cash flow from operating activities SEK 29 m (30 m) -4%
ACV SEK 11 m (6 m) 72%
ARR SEK 451 m (426 m) 6%