Consolidated Cash Flow Statement Amounts in SEK M Note 2015 2014 Operating activities Profit/loss before tax -162 -72 Adjustment for non-cash items 29 186 84 24 12 Income tax paid/received -7 8 Cash flow from operating activities before changes in working capital 17 20 Cash flow from changes in working capital Increase (-)/decrease (+) in inventories 7 -24 Increase (-)/decrease (+) in operating receivables 4 -26 Increase (+)/decrease (-) in operating liabilities -121 5 Cash flow from operating activities -93 -25 Investing activities Acquisitions of intangible assets 0 0 Acquisitions of tangible assets -16 -6 Divestments of tangible assets 0 – Investments in financial assets 0 1 Cash flow from investing activities -16 -5 Cash flow after investments -109 -30 Financing activities Rights issue 244 154 Acquisition/divestment of treasury shares 0 0 Loans raised 586 778 Amortization of loan liabilities -759 -887 Cash flow from financing activities 71 45 Cash flow for the year -38 15 Cash and equivalents at January 1 73 57 Exchange rate differences in liquid assets -2 1 Cash and equivalents at December 31 33 73