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Kemira Investor Presentation

Cash flow EUR million Net profit for the period Total adjustments Change in net working capital Finance expenses Q1 2023 Q1 2022 2022 2021 95 42 240 115 98 81 348 273 -51 -114 -102 -80 2 -11 -52 -44 Income taxes paid -49 -9 -33 -44 Net cash generated from operating activities 97 -11 400 220 Capital expenditure in subsidiaries and in other shares 0 -2 0 -1 Capital expenditure -29 -26 -198 -169 Proceeds from sale of assets -1 0 19 7 Change in long-term loan receivables 0 0 1 0 Cash flow after investing activities 67 -37 222 57 Kemira APRIL 25, 2023 INVESTOR PRESENTATION 80 00
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