Arise AB (publ)
Arise AB (publ), together with its subsidiaries, operates in the renewable energy sector. It operates through three segments: Development, Production, and Solutions. The company develops, constructs, and sells solar, battery, and wind farms, as well as develops and manages renewable electricity production. The company operates a project portfolio of renewable energy in Sweden, Norway, Finland, an… Read more
Arise AB (publ) (A4W) - Cash Flow Conversion Efficiency
Latest cash flow conversion efficiency as of September 2025: 0.154x
Based on the latest financial reports, Arise AB (publ) (A4W) has a cash flow conversion efficiency ratio of 0.154x as of September 2025.
Cash flow conversion efficiency measures how effectively a company's net assets (equity) generate operating cash flow. It is calculated by dividing operating cash flow (€322.00 Million) by net assets (€2.10 Billion). A higher ratio indicates that the company is more efficient at using its equity to generate cash flow from its core operations.
Arise AB (publ) - Cash Flow Conversion Efficiency Trend (2013–2024)
This chart illustrates how Arise AB (publ)'s cash flow conversion efficiency has evolved over time, based on yearly financial data. Explore and compare other companies by cash flow conversion efficiency.
Arise AB (publ) Competitors by Cash Flow Conversion Efficiency
The table below lists competitors of Arise AB (publ) ranked by their cash flow conversion efficiency.
| Company | Cash Flow Conversion Efficiency |
|---|---|
|
Adcock Ingram Holdings Limited
PINK:AIHLF
|
-0.035x |
|
Aurelius Technologies Bhd
KLSE:5302
|
0.070x |
|
Dongwon System
KO:014820
|
0.072x |
|
BGF Retail Co Ltd
KO:027410
|
0.004x |
|
Alkim Alkali Kimya AS
IS:ALKIM
|
0.070x |
|
ECIT AS NK 1
F:3CZ
|
N/A |
|
Arlandastad Group AB
ST:AGROUP
|
-0.002x |
|
Perfect Medical Health Management Limited
PINK:PFSMF
|
N/A |
Annual Cash Flow Conversion Efficiency for Arise AB (publ) (2013–2024)
The table below shows the annual cash flow conversion efficiency of Arise AB (publ) from 2013 to 2024.
| Year | Net Assets | Operating Cash Flow | Cash Flow Conversion Efficiency | Change |
|---|---|---|---|---|
| 2024-12-31 | €2.19 Billion | €279.00 Million | 0.127x | +601.63% |
| 2023-12-31 | €2.21 Billion | €40.00 Million | 0.018x | -96.83% |
| 2022-12-31 | €1.62 Billion | €923.00 Million | 0.571x | +687.97% |
| 2021-12-31 | €676.00 Million | €49.00 Million | 0.072x | -21.60% |
| 2020-12-31 | €703.00 Million | €65.00 Million | 0.092x | -80.26% |
| 2019-12-31 | €698.00 Million | €327.00 Million | 0.468x | +238.62% |
| 2018-12-31 | €824.00 Million | €114.00 Million | 0.138x | +21.63% |
| 2017-12-31 | €844.00 Million | €96.00 Million | 0.114x | -37.29% |
| 2016-12-31 | €1.02 Billion | €185.00 Million | 0.181x | +16.29% |
| 2015-12-31 | €1.09 Billion | €170.00 Million | 0.156x | +13.41% |
| 2014-12-31 | €1.18 Billion | €162.00 Million | 0.138x | -19.94% |
| 2013-12-31 | €1.24 Billion | €213.00 Million | 0.172x | -- |