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Papirfabrikken Invest
Papirfabrikken Invest
2021–2025 · Financial services
2026-08-11
Overview
Earnings
Margins
Cash flow
Balance
Capital
Plot
Millions
2021
2022
2023
2024
2025
Revenue
95
173
74
75
75
Operating profit (EBIT)
15
89
28
22
29
Net income attributable to shareholders
11
83
33
144
22
EBIT margin
16,0%
51,4%
37,4%
28,9%
38,7%
Operating cash flow
11
18
−1
−23
29
Free cash flow
9
8
−4
−31
17
Cash
3
51
69
165
48
0
50
100
150
200
0,0%
20,0%
40,0%
60,0%
2021
2022
2023
2024
2025
95
173
74
75
75
15
89
28
22
29