tbd30 DELÅRSRAPPORT Q1 AUGUSTI – OKTOBER
augusti – oktober 31 juli 2021 Likvida medel och kortfristiga placeringar 842,6 Mkr 851,5 Mkr Eget kapital 786,6 Mkr 790,4 […]
augusti – oktober 31 juli 2021 Likvida medel och kortfristiga placeringar 842,6 Mkr 851,5 Mkr Eget kapital 786,6 Mkr 790,4 […]
August – October 31 July 2021 Cash and current investments 842.6 million 851.5 million Equity 786.6 million 790.4 million Operating
Q4 (maj – juli) Helår (mars – juli) Likvida medel och kortfristiga placeringar 851,5 Mkr 851,5 Mkr Eget kapital 790,4
Q4 (May – July) Full year (March – July) Cash and current investments 851.5 million 851.5 million Equity 790.4 million
Carnegie Investment Bank AB (publ) (”Carnegie”), i sin roll som stabiliseringsansvarig, meddelar att stabiliseringsåtgärder utförts i tbd30 AB:s (publ) (”tbd30”
Carnegie Investment Bank AB (publ) (”Carnegie”), in its capacity as stabilisation manager, notifies that stabilisation measures have been undertaken in
Carnegie Investment Bank AB (publ) (”Carnegie”), in its capacity as stabilisation manager, notifies that stabilisation measures have been undertaken in
Carnegie Investment Bank AB (publ) (”Carnegie”), i sin roll som stabiliseringsansvarig, meddelar att stabiliseringsåtgärder utförts i tbd30 AB:s (publ) (”tbd30”
Carnegie Investment Bank AB (publ) (”Carnegie”), i sin roll som stabiliseringsansvarig, meddelar att stabiliseringsåtgärder utförts i tbd30 AB:s (publ) (“tbd30”
Carnegie Investment Bank AB (publ) (”Carnegie”), in its capacity as stabilisation manager, notifies that stabilisation measures have been undertaken in