Altra Fastigheter AB (publ) (ALTRA) — Cash Flow Reinvestment Rate

Latest as of June 2026: 0.00x

Altra Fastigheter AB (publ) (ALTRA) has a Cash Flow Reinvestment Rate of 0.00x as of June 2026, reinvesting Skr2.00 Million (capex Skr2.00 Million ) from operating cash flow of Skr439.00 Million. See ALTRA free cash flow to operating cash ratio to measure how efficiently the company converts operating cash flow to free cash.

Reinvestment Rate

0.00x
(Capex + Investments) / Operating CF

Total Reinvested

Skr2.00 Million
Capex + Investments

Operating Cash Flow

Skr439.00 Million
SEK

Capital Expenditures

Skr2.00 Million
SEK

Altra Fastigheter AB (publ) Cash Flow Reinvestment Rate (2015–2025)

Historical reinvestment intensity for Altra Fastigheter AB (publ) across 11 annual periods. For the full cash flow conversion analysis, see Altra Fastigheter AB (publ) operating cash flow efficiency.

Annual Cash Flow Reinvestment Rate for Altra Fastigheter AB (publ) (2015–2025)

Year-by-year capital reinvestment analysis for Altra Fastigheter AB (publ). See how financially flexible is Altra Fastigheter AB (publ) to measure the company's free cash flow as a share of total liabilities.

Year Reinvestment Rate Total Reinvested (SEK) Operating CF Capex YoY Change
2025 0.00x Skr6.00 Million Skr1.35 Billion Skr6.00 Million ▲ +106.2%
2024 0.00x Skr3.00 Million Skr1.39 Billion Skr3.00 Million
2023 0.00x Skr0.00 Skr1.54 Billion Skr0.00 ▼ -100.0%
2022 2.04x Skr3.36 Billion Skr1.64 Billion Skr3.36 Billion ▼ -52.9%
2021 4.33x Skr6.02 Billion Skr1.39 Billion Skr6.02 Billion
2020 0.00x Skr0.00 Skr1.23 Billion Skr0.00
2019 0.00x Skr0.00 Skr652.00 Million Skr0.00
2018 0.00x Skr0.00 Skr1.21 Billion Skr0.00
2017 0.00x Skr0.00 Skr477.00 Million Skr0.00
2016 0.00x Skr0.00 Skr523.00 Million Skr0.00
2015 0.00x Skr0.00 Skr597.00 Million Skr0.00
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow