Key consolidated data

  Jan-Mar Jan-Mar Jan-dec
SEK M 2026 2025 2025
Revenue, SEKm 18.9 18.2 78.2
Revenues change, % 3.8 99.8 29.9
Gross margin, % 62.3 56.6 60.7
Operating margin, % -121.2 -1.6 -75.7
Profit margin, % -413.1 -31.1 -85.0
EBITDA SEKm -14.1 10.7 -19.1
Return on equity, %* -33.4 -5.5 -21.4
Cash flow from operating activities, SEKm* -12.7 -36.4 -55.9
Equity/assets ratio, %* 84.3 85.8 90.6
Investments, SEKm -0.5 -0.0 -1.0
Depreciation, amortization and impairment, Mkr 8.8 10.9 40.1
Average number of employees* 36 43 38
Shareholders' equity per share before and after dilution, SEK * ** 26.09 43.57 35.69
Cash flow from operating activities per share before and after dilution, SEK* ** -1.68 -4.80 -7.37
Number of shares at period end, 000s * 7,586 7,586 7,586
Number of shares outstanding at period end, before and after dilution* ** 7,586 3,635 7,051
Börskurs FPC B-aktie, kr, periodens slut * ** 14.90 24.60 18.25
* Group      
** The outcome has been recalculated to reflect the reverse share split      
Latest updated: 4/13/2026 3:58:06 PM by Stefan Pettersson Oxkom admin