The Group in summary

Income statement summary, SEK million 2023 2022 2021 2020 2019
Net sales 9512.9 8843.6 6 718.6 6 098.8 6 903.5
Other operating income 130.7 123.9 111.5 146.2 77.9
Operating costs -7803.2 -7213.2 -5 596.9 -5 469.6 -6 213.4
Result before amortizations, depreciations and write-downs 1840.4 1754.3 1 233.2 775.4 768.1
Amortizations, depreciations and write-downs -263.2 -249.2 -227.3 -229.5 -233.1
Operating result 1577.2 1505.1 1 005.9 545.9 535.0
Net financial items -137.7 -55.0 -43.0 -64.9 -68.2
Result before tax 1439.4 1450.1 962.9 481.0 466.7
Tax expense -320.4 -281.3 -202.9 -118.0 -96.7
Result for the year 1119.0 1168.8 760.0 363.0 370.1
Balance sheets in brief 2023 2022 2021 2020 2019
Trademarks 604.4 588.9 531.4 494.3 543.4
Other fixed assets 2688.4 2681.0 2 345.6 2 336.4 2 560.5
Inventory 5346.8 5297.7 2 937.6 2 883.0 3 557.9
Accounts receivable 1475.2 1664.1 1 359.6 1 059.3 1 192.8
Other current assets 251.9 292.5 158.5 118.5 188.4
Liquid assets 372.6 419.4 327.9 325.1 351.3
Total assets 10739.3 10943.6 7 660.6 7 216.7 8 394.3
- - - - - -
Equity attributable to shareholders 6459.3 5889.4 4 566.7 3 845,00 3 754.4
Equity attributable to non-controlling interest 1.2 1.1 0.9 10.5 16.3
Provisions 207.9 190.4 164.9 165.7 165.0
Interest-bearing liabilities 2401.5 2749.0 1 396.7 2 142.7 3 316.1
Non-interest-bearing liabilities 1669.5 2113.7 1 531.5 1 052.7 1 142.5
Total equity and liabilities 10739.3 10943.6 7 660.6 7 216.7 8 394.3
Cash flows 2023 2022 2021 2020 2019
Cash flow before changes in working capital and investments 1362.8 1383.2 993.0 631.8 605.0
Changes in working capital -399.0 -1743.2 214.4 574.8 -505.6
Cash flow before investments 963.8 -360.0 1 207.4 1 206.6 99.5
Net investments -220.9 -522.2 -114.2 -57.5 -148.7
Cash flow after investments 742.9 -882.2 1 093.2 1 149.1 -49.3
Financial payments -785.4 934.1 -1 110.9 -1 155.6 80.4
Cash flow for the year -42.5 51.9 -17.7 -6.4 31.2
Financial highlights 2023 2022 2021 2020 2019
Net sales, SEK million 9512.9 8843.6 6 718.6 6 098.8 6 903.5
Operating result, SEK million 1577.2 1505.1 1 005.9 545.9 535.0
Result for the year, SEK million 1119.0 1168.8 760.0 363.0 370.1
Cash flow from operating activities, SEK million 963.8 -360.0 1 207.4 1 206.6 99.5
Balance sheet total, SEK million 10739.3 10943.6 7 660.6 7 216.7 8 394.3
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Net sales growth, % 7.6 31.6 10.2 -11.7 9.7
Gross profit margin, % 50.3 49.5 48.1 43.2 46.4
Operating margin, % 16.6 17.0 15.0 9.0 7.7
Equity ratio, % 60.2 53.8 59.6 53.4 44.9
Net debt to equity ratio, % 31.4 39.5 23.4 47.1 78.6
Net debt in relation to working capital, % 37.2 44.7 35.7 59.5 77.1
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Earnings per share, SEK* 8.43 8.81 5.73 2.755 2.83
Dividend per share, SEK* 3.5 3.25 2.00 0.00 1.00
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Number of employees 2 450 2312 2 060 2 064 2 579
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*Recalculated with regard to the 2:1 share split carried out i May 2023 - - - - -
Per share data 2023 2022 2021 2020 2019
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* 8.43 8.81 5.73 2.755 2.83
Equity per share before and after dilution, SEK* 48.68 44.385 34.415 28.98 28.295
Share price on 31 December, SEK* 101.88 103.2 83.9 27.25 29.9
P/E ratio 31 December 12.08 11.72 14.64 9.89 10.56
Dividend per share, SEK* 3.5 3.25 2.00 0.00 1.00
Dividend yield, % 3.44 2.06 2.38 - 3.34
Operating cash flow per share, SEK* 7.26 -2.7 9.1 9.01 0.75
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*Recalculated with regard to the 2:1 share split carried out i May 2023 - - - - -