SWED

COM:SWEDBANK

Swedbank

  • Stock

SEK

Last Close

212.90

25/11 09:40

Market Cap

245.08B

Beta: -

Volume Today

669.10K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
19.36B
-
21.03B
8.63%
20.37B
3.12%
23.76B
16.64%
24.54B
3.29%
26.55B
8.19%
24.42B
8.03%
16.78B
31.29%
25.82B
53.86%
27.36B
5.97%
43.62B
59.45%
depreciation and amortization
1.20B
-
768M
36.05%
936M
21.88%
664M
29.06%
776M
16.87%
993M
27.96%
1.64B
64.75%
1.58B
3.42%
1.69B
6.77%
2.82B
67.16%
1.92B
31.91%
deferred income tax
-2.95B
-
-6.08B
105.96%
-2.82B
53.67%
-6.33B
124.49%
-5.32B
15.90%
-7.46B
40.19%
-5.74B
23.05%
-617M
89.25%
-7.33B
1,087.20%
stock based compensation
418M
-
459M
9.81%
413M
10.02%
378M
8.47%
307M
18.78%
321M
4.56%
272M
15.26%
178M
34.56%
195M
9.55%
174M
10.77%
change in working capital
-39.88B
-
-5.80B
85.45%
55.14B
1,049.84%
-71.66B
229.97%
38.77B
154.10%
9.21B
76.24%
-25.98B
382.10%
96.34B
470.77%
30.93B
67.89%
-44.24B
243.02%
-181.38B
309.97%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-4.49B
-
-1.44B
67.99%
-3.11B
116.43%
-461M
85.17%
-725M
57.27%
-2.48B
242.76%
2.80B
212.76%
-5.03B
279.34%
-1.90B
62.23%
-4.73B
149.26%
-9.31B
96.89%
net cash provided by operating activities
-26.35B
-
8.93B
133.89%
70.93B
694.31%
-53.65B
175.63%
58.35B
208.77%
27.13B
53.50%
-2.59B
109.56%
109.24B
4,312.77%
49.41B
54.77%
-18.62B
137.69%
-145.15B
679.53%
investments in property plant and equipment
-835M
-
-1.11B
33.05%
-4.08B
266.79%
-451M
88.93%
-504M
11.75%
-15.32B
2,939.88%
-224M
98.54%
-364M
62.50%
-253M
30.49%
-363M
43.48%
-852M
134.71%
acquisitions net
-139M
-
-4.32B
3,009.35%
235M
105.44%
-6M
102.55%
-700M
11,566.67%
277M
139.57%
155M
44.04%
22M
85.81%
-51M
331.82%
-135M
164.71%
-53M
60.74%
purchases of investments
-43.27B
-
-15.13B
65.02%
-20.79B
37.38%
-135M
99.35%
-27.07B
19,950.37%
sales maturities of investments
184M
-
76M
58.70%
20.79B
27,259.21%
16.86B
18.93%
27.07B
60.58%
other investing activites
2.48B
-
362M
85.41%
1.57B
333.70%
763M
51.40%
407M
46.66%
16.71B
4,006.88%
44.15B
164.12%
16.78B
61.98%
932M
94.45%
-15.53B
1,766.52%
487M
103.14%
net cash used for investing activites
1.51B
-
-5.07B
436.27%
-2.27B
55.24%
306M
113.48%
-797M
360.46%
1.67B
309.66%
995M
40.45%
1.38B
38.99%
628M
54.59%
691M
10.03%
-418M
160.49%
debt repayment
-632.86B
-
-786.02B
24.20%
-1.15T
46.65%
-978.80B
15.09%
-1.20T
22.68%
-1.17T
2.43%
-582.79B
50.25%
-7.97B
98.63%
-617M
92.26%
-12.92B
1,993.68%
-11.98B
7.25%
common stock issued
common stock repurchased
dividends paid
-10.88B
-
-11.14B
2.32%
-12.54B
12.62%
-11.88B
5.25%
-14.70B
23.68%
-14.52B
1.20%
-15.89B
9.44%
-16.31B
-
-12.63B
22.55%
-10.96B
13.20%
other financing activites
597.07B
-
845.82B
41.66%
1.17T
38.38%
976.73B
16.55%
1.24T
26.55%
1.12T
9.62%
631.10B
43.51%
-723M
100.11%
31.08B
4,398.48%
35.56B
14.44%
55.12B
54.98%
net cash used provided by financing activities
-46.68B
-
48.66B
204.24%
5.23B
89.26%
-13.95B
366.81%
20.57B
247.47%
-68.88B
434.83%
32.41B
147.06%
-8.70B
126.83%
14.15B
262.69%
10.02B
29.23%
32.17B
221.27%
effect of forex changes on cash
807M
-
1.87B
131.23%
-1.35B
172.13%
2.32B
272.59%
903M
61.13%
2.86B
216.72%
1.31B
54.23%
-3.40B
359.51%
2.15B
163.41%
13.75B
538.49%
393M
97.14%
net change in cash
-70.67B
-
54.39B
176.95%
72.54B
33.39%
-64.97B
189.55%
79.02B
221.64%
-37.21B
147.09%
32.13B
186.33%
98.53B
206.69%
66.34B
32.66%
5.84B
91.20%
-113.00B
2,035.23%
cash at beginning of period
130.06B
-
59.38B
54.34%
113.77B
91.59%
186.31B
63.76%
121.35B
34.87%
200.37B
65.12%
163.16B
18.57%
195.29B
19.69%
293.81B
50.45%
360.15B
22.58%
365.99B
1.62%
cash at end of period
59.38B
-
113.77B
91.58%
186.31B
63.76%
121.35B
34.87%
200.37B
65.12%
163.16B
18.57%
195.29B
19.69%
293.81B
50.45%
360.15B
22.58%
365.99B
1.62%
252.99B
30.87%
operating cash flow
-26.35B
-
8.93B
133.89%
70.93B
694.31%
-53.65B
175.63%
58.35B
208.77%
27.13B
53.50%
-2.59B
109.56%
109.24B
4,312.77%
49.41B
54.77%
-18.62B
137.69%
-145.15B
679.53%
capital expenditure
-835M
-
-1.11B
33.05%
-4.08B
266.79%
-451M
88.93%
-504M
11.75%
-15.32B
2,939.88%
-224M
98.54%
-364M
62.50%
-253M
30.49%
-363M
43.48%
-852M
134.71%
free cash flow
-27.18B
-
7.82B
128.76%
66.86B
755.06%
-54.10B
180.91%
57.84B
206.93%
11.81B
79.58%
-2.82B
123.85%
108.87B
3,964.86%
49.16B
54.85%
-18.98B
138.62%
-146B
669.11%

All numbers in SEK (except ratios and percentages)