The Group in summary

Income statement summary (in SEK millions unless stated otherwise) 2025 2024 2023 2022 2021
Net sales 10019 9529 9513 8844 6719
Other operating income 100 95 131 124 112
Operating costs -8639 -8054 -7803 -7213 -5597
Result before amortizations. depreciations and write-downs 1480 1570 1840 1754 1233
Amortizations. depreciations and write-downs -339 -308 -263 -249 -227
Operating result 1141 1262 1577 1505 1006
Net financial items -108 -129 -138 -55 -43
Result before tax 1033 1133 1439 1450 963
Tax expense 250 -253 -320 -281 -203
Result for the year 783 880 1119 1169 760
Balance Sheet in Brief 2025 2024 2023 2022 2021
Trademarks 562 642 604 589 531
Other Fixed Assets 3 732 3 166 2 688 2 681 2 346
Inventory 5 642 5 124 5 347 5 298 2 938
Accounts Receivables 1 684 1 597 1 475 1 664 1 360
Other Current Assets 738 261 252 293 159
Cash and Cash equivalents 526 546 373 419 328
Total Assets 12 883 11 326 10 739 10 944 7 661
Equity Attributable to Shareholders 6 824 7 216 6 459 4 567 3 845
Equity attributable to non-controlling interest 0 1 1 1 1
Provisions 190 202 208 190 165
Interest-Bearing Liabilities 3 608 2 350 2 386 2 749 1 397
Non-Interest-Bearing Liabilities 2 261 1 543 1 670 2 114 1 532
Total Equity and Liabilities 12 883 11 326 10 739 10 944 7 661
Cash flows 2025 2024 2023 2022 2021
Cash flow before changes in working capital and investments 1 146 1 108 1 363 1 383 993
Changes in working capital -493 170 -399 -1 743 214
Cash flow before investments 653 1 278 964 -360 1 207
Net investments -938 -297 -221 -522 -114
Cash flow after investments -285 982 743 -882 1 093
Financial payments 316 -830 -785 934 -1 111
Cash flow for the year 526 546 373 52 -18
Financial Highlights (in million SEK unless stated otherwise 2025 2024 2023 2022 2021
Net Sales 10 019 9 529 9 513 8 844 6 719
Operating Result 1 141 1 262 1 577 1 505 1 006
Result for the year 783 880 1 119 1 169 760
Cash Flow from Operating Activities 653 1 278 964 -360 1 207
Balance Sheet Total 12 883 11 326 10 739 10 944 7 660
Net Sales Growth (%) 5.1 0.2 7.6 31.6 10.2
Gross Profit Margin (%) 49.0 49.4 50.3 49.5 48.1
Operating Margin (%) 11.4 13.2 16.6 17.0 15.0
Equity Margin (%) 53.0 63.7 60.2 53.8 59.6
Net debt to equity ratio (%) 25.0 25.0 31.4 39.5 23.4
Net Debt in Relation to Working Capital (%) 32.9 32.9 37.2 44.7 35.7
Earnings per Share (%) 5.9 6.6 8.4 8.8 5.7
Dividend per share (%) 3.5 3.5 3.5 3.25 2
Number of employees (Average no) 2 603 2 451 2 450 2 312 2 060
Per Share Data (Stated in SEK Unless Otherwise Stated) 2025 2024 2023 2022 2021
Number of shares before and after dilution* 132 687 086 132 687 086 132 687 086 132 687 086 132 687 086
Earnings per share before and after dilution, SEK* 5.9 6.6 8.4 8.8 5.7
Equity per share before and after dilution, SEK* 51.4 54.4 48.7 44.4 34.4
Share price on 31 December, SEK* 114.6 97.2 101.9 103.2 83.9
P/E ratio 31 December 19.4 14.6 12.1 11.7 14.6
Dividend per share, SEK* 3.5 3.5 3.5 3.3 2.0
Dividend yield, % 3.1 3.6 3.4 2.1 2.4
Operating cash flow per share, SEK* 7.3 9.6 7.3 2.7 9.1
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*Recalculated with regard to the 2:1 share split carried out i May 2023 - - - - -