Interim report January-March 2021 : vimarsana.com

Interim report January-March 2021


Interim report January-March 2021
Strong performance in the quarter with cash revenues growing 6 per cent in constant currency
Cash EBIT up 24 per cent year on year to SEK 1,365 M
Increased RTM cash EBITDA and underlying deleveraging in constant currency
Record pipeline and new contract signings with strong momentum for the remainder of 2021
First quarter, January-March 2021:
Cash EBIT improved to SEK 1,365 M (1,105).
RTM cash EPS of SEK 30.16.
RTM cash RoIC was 8.2 per cent (6.6).
Net debt/RTM cash EBITDA was 4.1x (4.0x).
Available liquidity at the end of the quarter was SEK 18,386 M (17,061).
Presentation of the interim report
Anders Engdahl, President & CEO, and Michael Ladurner, CFO, will present the results and answer questions in an audio cast with telephone conference at 9:00 a.m. CET. The conference will be held in English.

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