Key Figures Q2 2024

SEK m, unless otherwise stated

2024 Apr-Jun 2023 Apr-Jun % Change 2024 Jan-Jun 2023 Jan-Jun 2023 Jan-Dec
Net revenues 154.0 157.7 -2.3% 293.2 316.8 638.8
Cost of goods sold -16.3 -17.2 -5.2% -29.6 -46.0 -88.9
Operating expenses -153.5 -153.4 0.1% -284.2 -343.0 -659.5
EBIT -15.8 -12.9 -22.5% -20.5 -72.3 -109.5
EBIT margin, % -10.3% -8.2% -25.6% -7.0% -22.8% -17.1%
EBITDA 5.0 5.6 -10.7% 20.9 -35.4 -32.5
Earnings per share, before dilution, SEK -1.04 -0.37 -181.1% -1.30 -2.22 -3.73
Earnings per share, after dilution, SEK -1.04 -0,37 -181.1% -1.30 -2.22 -3.73
Cash flow from operating activities -6.5 -12.7 48.8% -25.4 -70.5 -95.0
Cash and invested funds 139.7 251.1 -44.4% 139.7 251.1 171.0


Net revenues and EBIT per segment Q2 2024

 

Net Revenues

EBIT


SEK m

2024
Apr-Jun

2023
Apr-Jun

2024 Jan-Jun 2023 Jan-Jun

2023
Jan-Dec

2024
Apr-Jun

2023
Apr-Jun

2024 Jan-Jun 2023 Jan-Jun

2023
Jan-Dec

Zubsolv® US product sales 147.9 145.4 277.2 286.0 577.7 - - - - -
Digital Mental Health Programs (DMHP) product sales 0,0 0,0 0.0 0.1 0.1 - - - - -
US Commercial– total 147.9 145.4 277.2 286.0 577.7 36.0 37.6 67.9 75.3 152.3
Abstral® royalties 1.3 8.0 8.4 14.2 31.9 - - - - -
Edluar® royalties 3.3 4.0 6.0 5.2 10.8 - - - - -
Zubsolv - ex US 1.5 0.2 1.7 11.2 18.4 - - - - -
HQ & Pipeline - total 6.0 12.3 16.1 30.8 61.1 -51.9 -50.5 -88.5 -147.5 -261.8
Total 154.0 157.7 293.2 316.8 638.8 -15.8 -12.9 -20.5 -72.3 -109.5


Cash flow Q2 2024


SEK m

2024
Apr-Jun

2023
Apr-Jun

2024 Jan-Jun 2023 Jan-Jun

2023
Jan-Dec

Cash flow from operating activities -6.5 -12.7 -25.4 -70.5 -95.0
Investment activities -2.7 125.1 -3.8 208.3 200.8
Financing activities -48.0 -14.0 -4.7 -25.5 -70.1
Cash flow (excl exchange rate differences) -57.1 98.5 -34.0 112.3 35.7
Cash and cash equivalents 139.7 251.1 139.7 251.1 171.0