Cash-flow statement

Strong operating cash-flow
Operating cash flow in the Industrial Operations amounted to SEK 19.0 billion (neg: SEK 11.4 billion).

The strong cash flow was generated through the operating income and a reduction of working capital.

Financial items and paid income taxes had a SEK 5.1 billion negative effect on cash flow within Industrial Operations, mainly through payments of interests and income tax.

Operating cash flow within Customer Finance was a positive SEK 1.4 billion in 2010 (15.1).