Financial position and cash flow

Project and development properties

Project and development properties, which are reported as inventory items, amounted to SEK 16,615 million per March 31, 2026, compared to SEK 16,283 million per December 31, 2025. The net change during the quarter was SEK 332 million (-108) and the increase is mainly due to more completed and repurchased homes.

Cash flow

Cash flow from current operations during the first quarter 2026 amounted to SEK -343 million (-430), of which cash flow from changes in working capital was SEK -10 million (-134). The negative cash flow mainly comes from business areas Industry where the season does not start until the second quarter.

Cash flow from investment activities was SEK -265 million (67) and was largely explained by machine investments in business area Industry. The first quarter last year included a positive effect from the divestment of shares in joint ventures related to business area Project Development.

Cash flow before financing amounted to SEK -608 million (-363).

Cash flow from financing operations amounted to SEK 319 million (360), where repurchasing own shares generated a charge of SEK -85 million (-). Changes in loans amounted to SEK 401 million (360).

Net debt

MSEK Mar 31 2026 Mar 31
2025
Dec 31
2025
Mkr 31 mar 2026 31 mar
2025
31 dec
2025
Bank loans Banklån 3,535 4,459 2,968
Commercial papers Företagscertifikat 370 608 97
Bonds Obligationer 4,114 3,667 4,098
Financial leasing liabilities Finansiella leasingskulder 741 700 758
Project financing, unsold part of housing projects Projektfinansiering, osåld del av bostadsprojekt 1,818 1,944 2,131
Other interest-bearing liabilities Övriga räntebärande skulder 15 10 16
Interest-bearing receivables Räntebärande fordringar -566 -1,648 -523
Liquid funds Likvida medel -2,854 -1,474 -3,145
Net debt, segment reporting Nettoskuld, segmentsredovisning 7,173 8,266 6,400
Additional leasing liabilities according to IFRS 16 Tillkommande leasingskulder enligt IFRS 16 1,291 1,378 1,335
Project financing, sold part of housing projects Projektfinansiering, såld del av bostadsprojekt 754 879 234
Net debt, IFRS Nettoskuld, IFRS 9,218 10,523 7,969

Net debt and net debt/equity ratio

Cash flow before financing