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Quarterly key figures

July 1 – September 30, 2025 January 1 – September 30, 2025
2025 2024 Δ
Net sales of SEK 61 m (56 m) 9%
Recurring revenues of SEK 55 m (51 m) 8%
which corresponds to % of net sales 91 % (92 %)
EBITDA SEK 13 m (5 m) 175%
EBITDA margin 21 % (8 %)
EBIT-adj. 8 m (-0,5 m)
EBIT-adj. marginal 13 % (-1 %)
EBIT 4 m (-3 m)
EBIT margin 7 % (-6 %)
Net profit SEK 1 m (-13 m)
Net profit margin 2 % (-24 %)
EPS before dilution SEK* 0.21 (0.07) 198%
Cash flow from operating activities SEK 7 m (3 m) 108%
ACV SEK 6 m (6 m) 2%
ARR SEK 220 m (205 m)  7%
  2025 2024 Δ
Net sales of SEK 182 m (163 m) 12%
Recurring revenues of SEK 162 m (147 m) 11%
which corresponds to % of net sales 89 % (90 %)
EBITDA SEK 24 Mkr (11 m) 119%
EBITDA margin 13 % (7 %)
EBIT-adj. 9 m (-4 m)
EBIT-adj. marginal 5 % (-3%)
EBIT -11 Mkr (-7 Mkr) -47%
EBIT margin -6 % (-4 %)
Net profit SEK -25 Mkr (-13 Mkr) -91%
Net profit margin -14% (-8 %)
EPS before dilution SEK* 0.31

 kr

(0.26 kr) 22%
Cash flow from operating activities SEK -7 Mkr (0.3 Mkr)
ACV SEK 16 Mkr (19 Mkr) -16%
ARR SEK 220 Mkr (205 Mkr) 7%