Ten-year overview

Ten-year overview

Consolidated

SEK millions, unless otherwise stated

2023

2022

2021

2020

2019

2018

2017

2016

2015

2014

Profit and loss

Net sales

63,598

52,135

40,911

41,468

46,517

40,666

35,314

35,634

39,746

35,067

Comparison distortion items

-767

-192

-796

189

151

-1,500

-320

Operating income

9,256

6,519

6,126

5,580

7,198

5,831

4,589

2,989

5,717

4,667

Financial net

-606

-340

16

-603

23

65

-218

336

-273

-550

Result after financial items

8,650

6,179

6,142

4,977

7,221

5,896

4,371

3,325

5,444

4,117

Taxes

-2,269

-1,610

-1,341

-1,397

-1,713

-1,359

-1,383

-1,013

-1,583

-1,149

Net income for the year

6,381

4,569

4,801

3,580

5,508

4,537

2,988

2,312

3,861

2,968

Financial position

Goodwill

25,069

26,258

22,480

19,080

21,112

20,537

19,775

20,436

19,498

20,408

Other intangible assets

4,553

5,159

3,441

2,204

3,134

3,873

4,692

5,946

6,556

7,898

Property, plant and equipment

11,769

10,710

9,075

8,321

8,943

5,732

4,851

4,940

4,773

5,004

Other non-current assets

2,668

2,666

3,216

3,633

2,081

1,958

1,654

2,100

1,804

2,092

Inventories

14,950

14,775

10,525

9,223

10,077

9,253

8,424

7,831

7,405

7,883

Current receivables

17,416

17,018

11,977

10,631

12,582

11,807

8,808

8,431

8,964

9,791

Current deposits

728

311

291

2,618

873

617

1,208

1,075

1,021

697

Cash and cash equivalents

5,135

4,352

3,356

5,150

5,594

4,295

3,137

2,619

1,876

2,013

TOTAL ASSETS

82,288

81,249

64,361

60,860

64,396

58,072

52,549

53,378

51,897

55,786

Equity

37,378

35,704

32,344

29,071

27,747

23,599

20,500

20,276

18,423

17,202

Provisions for pensions etc.

1,090

1,192

1,907

2,494

2,321

2,118

2,297

2,425

1,931

2,221

Provisions for taxes

2,372

2,293

1,838

1,553

1,662

1,945

2,100

2,722

2,925

3,074

Other non-current liabilities

1,863

2,139

1,928

2,259

2,571

802

677

636

521

660

Non-current loans

9,829

13,362

3,059

8,043

10,600

8,540

11,092

12,169

12,484

16,454

Current liabilities

29,756

26,559

23,285

17,440

19,495

21,068

15,883

15,150

15,613

16,175

TOTAL EQUITY & LIABILITIES

82,288

81,249

64,361

60,860

64,396

58,072

52,549

53,378

51,897

55,786

Changes in accounting standards

A reader of the ten-year overview should observe that accounting standards have changed repeatedly over this period of time. The major changes are the following.

During 2019 IFRS 16 ”Leases” was implemented, which meant that right-of use assets and lease liabilities increased by SEK 2,766 million as per January 1, 2019 in connection with the initial application.

Ten-year overview

Consolidated

SEK millions, unless otherwise stated

2023

2022

2021

2020

2019

2018

2017

2016

2015

2014

Key ratios

Orders received

70,742

58,645

45,718

39,833

44,119

45,005

36,628

32,060

37,098

36,660

Order backlog at year end

45,325

37,020

22,954

18,969

21,551

23,168

18,289

16,870

20,578

22,293

EBITA

10,221

7,462

6,922

6,435

8,178

6,869

5,610

4,680

6,811

5,571

EBITDA

11,780

8,911

8,113

7,569

9,251

7,495

6,239

5,323

7,478

6,136

EBITA-margin %

16.1%

14.3%

16.9%

15.5%

17.6%

16.9%

15.9%

13.1%

17.1%

15.9%

EBITDA-margin %

18.5%

17.1%

19.8%

18.3%

19.9%

18.4%

17.7%

14.9%

18.8%

17.5%

Adjusted EBITA

10,221

8,229

7,114

7,231

7,989

6,718

5,610

5,553

6,811

5,891

Adjusted EBITDA

11,780

9,678

8,305

8,365

9,062

7,344

6,239

6,196

7,478

6,456

Adjusted EBITA-margin %

16.1%

15.8%

17.4%

17.4%

17.2%

16.5%

15.9%

15.6%

17.1%

16.8%

Adjusted EBITDA-margin %

18.5%

18.6%

20.3%

20.2%

19.5%

18.1%

17.7%

17.4%

18.8%

18.4%

Profit margin %

13.6%

11.9%

15.0%

12.0%

15.5%

14.5%

12.4%

9.3%

13.7%

11.7%

Excl. goodwill and step-up values:

Capital turnover rate, times

3.4

3.5

3.8

3.9

4.4

7.4

5.7

8.6

10.6

7.9

Capital employed

18,509

15,087

10,839

10,751

10,649

5,474

6,201

4,146

3,734

4,447

Return on capital employed %

55.2%

49.5%

63.9%

59.9%

76.8%

125.5%

90.5%

112.9%

182.4%

125.3%

Incl. goodwill and step-up values:

Capital turnover rate, times

1.3

1.2

1.2

1.2

1.3

1.3

1.1

1.2

1.3

1.3

Capital employed

48,753

43,060

34,677

33,678

35,550

30,729

31,698

30,663

31,512

27,259

Return on capital employed %

21.0%

17.3%

20.0%

19.1%

23.0%

22.4%

17.7%

15.3%

21.6%

20.4%

Return on equity %

17.6%

13.5%

15.8%

12.7%

21.3%

20.3%

13.9%

11.8%

21.7%

17.6%

Solidity %

45.4%

43.9%

50.3%

47.8%

43.1%

40.6%

39.0%

38.0%

35.5%

30.8%

Net debt *

10,011

13,070

7,024

3,635

8,175

6,985

8,200

9,619

11,688

15,068

Net debt to EBITDA, times *

0.85

1.47

0.87

0.48

0.88

0.93

1.31

1.81

1.56

2.46

Debt ratio, times *

0.27

0.37

0.22

0.13

0.29

0.30

0.40

0.47

0.63

0.88

Interest coverage ratio, times

23.1

27.9

38.4

27.3

32.8

39.3

28.4

24.5

22.3

18.2

Cash flow from:

operating activities

9,169

3,291

5,264

7,723

5,223

4,883

4,463

4,979

5,850

5,123

investing activities

-2,687

-5,518

-5,025

-1,058

-1,027

-1,293

-721

-795

-710

-14,970

financing activities

-5,543

3,093

-2,081

-6,917

-2,945

-2,445

-3,159

-3,566

-5,229

10,250

Investments

2,440

1,853

1,229

1,232

1,337

1,490

675

617

674

603

Average number of employees

20,803

19,002

17,419

17,160

17,387

16,785

16,521

17,305

17,486

17,109

Earnings per share, SEK

15.31

10.89

11.38

8.47

13.08

10.77

7.09

5.46

9.15

7.02

Free cash flow per share, SEK **

16.50

3.52

9.71

15.76

9.28

8.38

9.09

10.49

12.40

10.96

* Lease liabilities have increased by SEK 2,766 million as per January 1, 2019 due to the initial application of IFRS 16 Leases, which affects the net debt at December 31, 2019.

** Free cash flow is the sum of cash flows from operating activities, investments and divestments of fixed assets.


Observe that certain financial measures above constitute alternative performance measures.