Ortivus AB ser. B (ORTI-B) — Cash Flow-to-Debt Ratio

Latest as of December 2025: -0.24x

Ortivus AB ser. B (ORTI-B) has a Cash Flow-to-Debt Ratio of -0.24x as of December 2025, meaning its operating cash flow of Skr-11.86 Million could theoretically repay 0% of its total liabilities (Skr48.52 Million) in one year. See ORTI-B cash flow after capex ratio to measure how efficiently the company converts operating cash flow to free cash.

CF-to-Debt Ratio

-0.24x
Operating CF / Total Liabilities

Operating Cash Flow

Skr-11.86 Million
SEK

Total Liabilities

Skr48.52 Million
SEK

Data as of

Dec 2025
Most recent filing

Ortivus AB ser. B Cash Flow-to-Debt Ratio (2003–2025)

Historical debt coverage capacity for Ortivus AB ser. B across 23 annual periods. Also explore ORTI-B net asset momentum to track the company's year-over-year net asset growth rate.

Annual Cash Flow-to-Debt Ratio for Ortivus AB ser. B (2003–2025)

Year-by-year debt coverage analysis for Ortivus AB ser. B. For market capitalisation and broader financial context, see ORTI-B market cap overview.

Year CF-to-Debt Ratio Operating CF (SEK) Total Liabilities YoY Change
2025 -0.52x Skr-25.24 Million Skr48.52 Million ▼ -279.3%
2024 -0.14x Skr-9.75 Million Skr71.07 Million ▼ -2407.5%
2023 -0.01x Skr-303.00K Skr55.40 Million ▲ +95.7%
2022 -0.13x Skr-6.88 Million Skr54.31 Million ▼ -170.1%
2021 0.18x Skr7.77 Million Skr43.02 Million ▼ -54.5%
2020 0.40x Skr18.63 Million Skr46.87 Million ▲ +396.5%
2019 -0.13x Skr-3.51 Million Skr26.19 Million ▼ -570.6%
2018 -0.02x Skr-510.00K Skr25.52 Million ▲ +96.8%
2017 -0.63x Skr-11.90 Million Skr18.98 Million ▼ -633.7%
2016 0.12x Skr4.93 Million Skr42.02 Million ▲ +286.1%
2015 -0.06x Skr-3.39 Million Skr53.68 Million ▼ -112.5%
2014 0.50x Skr31.93 Million Skr63.46 Million ▲ +238.2%
2013 -0.36x Skr-7.13 Million Skr19.57 Million ▼ -189.6%
2012 0.41x Skr8.95 Million Skr22.00 Million ▲ +203.0%
2011 -0.39x Skr-8.69 Million Skr22.00 Million ▲ +75.5%
2010 -1.61x Skr-26.69 Million Skr16.56 Million ▼ -1174.9%
2009 -0.13x Skr-10.05 Million Skr79.50 Million ▲ +50.2%
2008 -0.25x Skr-18.98 Million Skr74.76 Million ▼ -1544.1%
2007 -0.02x Skr-1.40 Million Skr90.42 Million ▲ +95.9%
2006 -0.37x Skr-40.42 Million Skr107.87 Million ▼ -161.1%
2005 -0.14x Skr-18.16 Million Skr126.55 Million ▼ -108.9%
2004 1.62x Skr55.57 Million Skr34.40 Million ▼ -1.1%
2003 1.63x Skr60.91 Million Skr37.29 Million
Cash Flow-to-Debt Ratio = Operating Cash Flow / Total Liabilities. Higher is better for debt service capacity.