Kinnevik Results Presentation Deck slide image

Kinnevik Results Presentation Deck

Intro Supplementary Cash Flow Information SEKM Investments in Financial Assets Investments Not Paid Net Asset Value Prior Period Investments, Paid in Current Period Currency Exchange Differences on Investments Not Paid Cash Flow From Investments in Financial Assets Sale of Shares and Other Securities Paid on Divestments in Earlier Periods Cash Flow From Sale of Shares and Other Securities KINNEVIK Interim Report Q2 2023 Portfolio Overview Sustainability Note Financial Statements Q2 2023 -2 241 8 -12 0 -2 245 10 0 10 Q2 2022 -475 4 -3 0 -474 6 027 16 6 043 Other H1 2023 -3 054 9 -22 0 -3 067 1 030 0 1 030 H1 2022 -2 132 97 -437 -2 -2 474 7 042 292 7 334 FY 2022 -5 742 237 -443 -6 -5 954 7 043 292 7 335 23
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