IAR Systems Group AB (publ) Interim Report Jan-Jun 2015

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SOLNA, Sweden--(BUSINESS WIRE)--Sales of SEK 156m, EBITDA of SEK 47m Operating margin of 26%, cash flow of SEK 50m January–June 2015 · Net sales of SEK 156.0m (124.7) · EBITDA of SEK 47.2m (28.9) · Operating profit of SEK 40.0m (24.1) · Profit before tax of SEK 39.9m (24.5) · Cash flow from operating activities of SEK 50.0m (30.5) · Net cash of SEK 45.7m (39.4) at the end of the period · EBITDA margin of 30.3% (23.2) · Operating margin of 25.6% (19.3) · Earnings per share of SEK 3.06 (1.86) aft

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