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  "presentationDate": "2024-11-01 00:00:00",
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      "text": "Net cash flow from operating activities before tax paid (SEKm) for Q2 23 (251), Q3 23 (189), Q4 23 (229), Q1 24 (114), Q2 24 (213), Q3 24 (166).",
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      "text": "Net cash flow from operating activities excluding paid income tax was 166 MSEK (189), of which -20 MSEK (30) was attributed to changes in working capital.\nAuthorisation to buy back 10% of outstanding shares until AGM 2025. During the quarter 2.3m shares was bought back for ~80 MSEK.\nAs of today TC holds 9.7 million B- and C-shares (~2.8% of capital) and can buy back approx. 25.6 million more B and C-shares (~7.2% of capital) with current mandate.\n~ 1.1 bn SEK in cash and short-term funds available for strategic investments, growth initiatives as well as dividends and buybacks.",
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      "text": "2024 Q3 REPORT FINANCIAL PERFORMANCE",
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