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0A39 Karnov Group Ab (publ)

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Income Statement

Balance Sheet

Cash Flow

Year End 31 December 2023 201820192020202120222023
SEK (SEK)SEK (SEK)SEK (SEK)SEK (SEK)SEK (SEK)SEK (SEK)
Total Assets 3.39B3.4B3.69B4.52B7.45B6.93B
Total Current Assets 427.59M349.45M737.13M1.19B1.31B975.9M
Cash and Equivalents 201.8M52.01M552.92M951.47M671.2M450.6M
Total Non-Current Assets 625.21M1.53B1.55B2.15B2.33B2.34B
Total Liabilities 2.77B1.87B2.14B2.37B5.13B4.6B
Total Current Liabilities 908.58M754.78M658.01M837.6M1.87B1.82B
Total Non-Current Liabilities 3.46B2.06B2.76B2.83B5.96B5.08B
Total Equity 625.21M1.53B1.55B2.15B2.33B2.34B
Common Equity 688k1.5M1.51M1.66M1.66M1.7M
Retained Earnings -223.02M-217.05M-156.59M-170.95M-109.02M-65.2M

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