Redeye comment on EG7 strong beat both in revenue and EBIT. Strong operating cash flow of SEK102.7m while the net cash flow after investments was SEK32.8m. In the end of the year EG7 held SEK483.9m in cash while it has debt of SEK406.2m giving a net cash position of SEK77.7m. Organic growth was 28% way above our expectations.
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