Kinnevik Results Presentation Deck slide image

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 22
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