Year End Report 2016, Heliospectra AB ( publ) July-December: Net turnover was KSEK 13,185 (9,709) Operating profit/loss was KSEK -22,609 (-18,256), involving a negative operating margin (neg) Profit/loss after tax was KSEK -25,525 (-19,717) or SEK –-1 (-1) per share Operating cash flow was KSEK -14,261 (-16,458). Total cash flow was KSEK 68,346 (11,621) January-December:
Bokslutskommuniké 2016, Heliospectra AB ( publ) juli-december: Nettoomsättningen uppgick till 13 185 (9 709) KSEK Rörelseresultatet uppgick till -22 609 (-18 256) KSEK Resultat efter skatt var -25 525 (-19 717) KSEK eller -1 (-1) kronor per aktie Rörelsens kassaflöde var -14 261 (-16 458) KSEK. Totalt kassaflöde uppgick till 68 346 (11 621) KSEK
“Increased sales by 340 percent and breakthroughs in the market “ July-December: Net turnover was KSEK 9,709 (1,247) Operating profit/loss was KSEK -18,256 (-14,072), involving a negative operating margin (neg) Profit/loss after tax was KSEK -19,717 (-14,068) or SEK -1 (-1) per share Operating cash flow was KSEK -16,458 (-15,627). Total cash flow was KSEK
“Ökad omsättning med 340 procent och genombrott på marknaden” juli-december: Nettoomsättningen uppgick till 9 709 (1 247) KSEK Rörelseresultatet uppgick till -18 256 (-14 072) KSEK Resultat efter skatt var -19 717 (-14 068) KSEK eller -1 (-1) kronor per aktie Rörelsens kassaflöde var -16 458 (-15 627) KSEK. Totalt kassaflöde uppgick till 11 621
“Ökad omsättning med 340 procent och genombrott på marknaden” juli-december: Nettoomsättningen uppgick till 9 709 (1 247) KSEK Rörelseresultatet uppgick till -18 256 (-14 072) KSEK Resultat efter skatt var -19 717 (-14 068) KSEK eller -1 (-1) kronor per aktie Rörelsens kassaflöde var -16 458 (-15 627) KSEK. Totalt kassaflöde uppgick till 11 621
July-December: Net turnover was KSEK 9,709 (1,247) Operating profit/loss was KSEK -18,256 (-14,072), involving a negative operating margin (neg) Profit/loss after tax was KSEK -19,717 (-14,068) or SEK -1 (-1) per share Operating cash flow was KSEK -16,458 (-15,627). Total cash flow was KSEK 11,621 (-17,431) January-December: Net turnover was KSEK 13,686 (3,110) Operating profit/loss was KSEK -32,360 (-32,901), involving a negative operating margin (neg) Profit/loss after tax was KSEK -33,954 (-33,670) or SEK -2 (-2) per share Operating cash flow was KSEK -16,458
July – December:· Net turnover was KSEK 1,247 (289)· Operating profit/loss was KSEK -14,072 (-5,258)· Profit/loss after tax was, SEK -14,068 (-5,266) or SEK -1 (-662) per share· Operating cash flow was KSEK -15,627 (-4,770) January – December · Net turnover was KSEK 3,110 (486)· Operating profit/loss was KSEK -32,901 (-17,141)· Profit/loss after tax was, SEK -33,670 (-17,117) or SEK -2 (-2,150)
Juli – december:· Nettoomsättningen uppgick till 1 247 (289) KSEK· Rörelseresultatet uppgick till -14 072 (-5 258) KSEK· Resultat efter skatt var -14 068 (-5 266) KSEK eller -1 (-662) kronor per aktie· Rörelsens kassaflöde var -15 627 (-4 770) KSEK Januari – december:· Nettoomsättningen uppgick till 3 110 (486) KSEK· Rörelseresultatet uppgick till -32 901 (-17 141) KSEK· Resultat efter skatt

