Note 27 Supplementary disclosures to the cash-flow statement

Cash and cash equivalents

SEK M 2019 2018
Mkr 2019 2018
Cash and bank balances Kassa och bank 662 961
Total Summa 662 961

Adjustments for items not included in cash flow

SEK M 2019 2018
Mkr 2019 2018
Change in reserve1) Förändring av reserv1) -73 -72
Gain from divestment/disposal of non-current assets Resultat vid avyttring/utrangering av anläggningstillgångar 19 -12
Total Summa -54 -84

1) Primarily refers to inventories and customer reserves.