PERIOD 1 JANUARY – 30 JUNE 2011
- Net sales SEK 57.1 million (59.5 million)
- System income SEK 53.6 million (49.7 million)
- Operating profit before depreciation/amortisation SEK 15.7 million (15.2 million)
- Operating profit SEK 11.2 million (10.7 million)
- Operating margin 19.5 % (18.0 %)
- Net profit/ loss after tax SEK 8.1 million (8.5 million)
- Earnings per share before dilution SEK 0.68 (0.72)
- Cash flow from operating activities SEK 15.2 million (5.3 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 APRIL – 30 JUNE 2011
- Net sales SEK 27.7 million (28.1 million)
- System income SEK 26.0 million (23.4 million)
- Operating profit before depreciation/amortisation SEK 7.0 million (6.5 million)
- Operating profit SEK 4.6 million (4.3 million)
- Operating margin 16.4 % (15.2 %)
- Net profit/loss after tax SEK 3.3 million (3.4 million)
- Earnings per share before dilution SEK 0.27 (0.28)
- Cash flow from operating activities SEK 2.6 million (2.6 million)
- Exchange rate effects have had a negative impact on revenues and earnings of SEK 0.7 million and SEK 0.2 million respectively