Consolidated Cash Flow statement

SEK million
2010  2009  2008  2007  2006
Cash flow from operating activities before changes in working capital 616 438 619 526 369
Changes in working capital 40 120 -129 -127 -104
Cash flow from operating activities 656 558 490 399 265
Net capital expenditures in non-current assets -111 -90 -130 -67 -41
Company acquisitions -684 -188 -276 -307 -157
Change in other financial assets 0 0 0 1 -16
Cash flow from investing activities -795 -278 -406 -373 -214
Net borrowings 321 -12 131 203 65
Dividend paid -172 -256 -210 -150 -110
Cash flow from financing activities 149 -268 -79 53 -45
Cash flow for the period 10 12 5 79 6
Cash and cash equivalents at start of year 229 223 203 119 117
Exchange rate differences -20 -6 15 5 -4
Cash and cash equivalents at end of year 219 229 223 203 119
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