Kinnevik Results Presentation Deck
Intro
Consolidated Statement of Cash Flow
SEKM
Dividends Received
Cash Flow from Operating Costs
Interest Received
Interest Paid
Cash Flow From Operations
Investments in Financial Assets
Sale of Shares and Other Securities
Cash Flow From Investing Activities
Repayment of Loans
Cash Flow From Financing Activities
Cash Flow for the Period
Net Asset Value
Short-term Investments and Cash, Opening Balance
Revaluation of Short-term Investments
Short-term Investments and Cash, Closing Balance
KINNEVIK
Interim Report Q2 2023
Portfolio Overview
Sustainability
Note
5
Financial Statements
Q2 2023
468
-84
55
-5
434
-2 245
10
-2 235
0
-1 801
13 988
55
12 242
Q2 2022
3 077
-56
-3
3 018
-474
6 043
5 569
0
8 587
8 441
-61
16 967
Other
H1 2023
468
-204
71
-24
311
-3 067
1 030
-2 037
0
-1 726
13 848
120
12 242
H1 2022
3 077
-179
-31
2 867
-2 474
7 334
4 860
-1 210
-1 210
6517
10 544
-94
16 967
FY 2022
3 538
-337
44
-66
3 179
-5 954
7 335
1 381
-1 210
-1 210
3 350
10 544
-46
13 848
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