Rok finansowy |
1999 |
2000 |
2001 |
2002 |
2003 |
2004 |
2005 |
2006 |
2007 |
2008 |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
Aktywa (mln) |
34 823.0 |
37 814.0 |
40 897.0 |
38 983.0 |
36 326.0 |
34 847.0 |
40 349.0 |
46 238.0 |
46 331.0 |
56 281.0 |
51 015.0 |
55 224.0 |
59 374.0 |
60 757.0 |
70 991.0 |
81 639.0 |
79 733.0 |
83 907.0 |
81 203.0 |
87 173.0 |
94 108.0 |
90 557.0 |
99 628.0 |
110 923.0 |
111 903.0 |
Aktywa trwałe (mln) |
16 017.0 |
16 038.0 |
17 091.0 |
15 598.0 |
13 562.0 |
13 445.0 |
15 827.0 |
16 351.0 |
18 234.0 |
22 099.0 |
21 114.0 |
26 501.0 |
26 026.0 |
25 909.0 |
36 409.0 |
42 832.0 |
41 580.0 |
40 808.0 |
38 382.0 |
39 937.0 |
46 264.0 |
43 659.0 |
45 839.0 |
51 128.0 |
51 986.0 |
Rzeczowe aktywa trwałe netto |
13 074.0 |
13 089.0 |
13 599.0 |
12 418.0 |
11 138.0 |
11 012.0 |
11 119.0 |
11 388.0 |
11 960.0 |
14 556.0 |
13 933.0 |
12 922.0 |
13 076.0 |
13 086.0 |
14 095.0 |
15 482.0 |
15 303.0 |
15 746.0 |
15 762.0 |
16 688.0 |
21 411.0 |
20 678.0 |
23 384.0 |
27 981.0 |
29 781.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
3 119.0 |
2 759.0 |
6 309.0 |
5 992.0 |
5 720.0 |
10 717.0 |
12 233.0 |
12 078.0 |
11 137.0 |
9 995.0 |
10 347.0 |
11 251.0 |
10 117.0 |
10 924.0 |
12 351.0 |
11 962.0 |
Wartości niematerialne i prawne |
944.0 |
1 119.0 |
1 270.0 |
1 418.0 |
648.0 |
912.0 |
1 583.0 |
2 586.0 |
3 516.0 |
1 535.0 |
1 255.0 |
4 164.0 |
4 165.0 |
4 080.0 |
8 306.0 |
9 905.0 |
9 407.0 |
8 431.0 |
7 365.0 |
7 375.0 |
7 146.0 |
6 125.0 |
6 018.0 |
5 842.0 |
5 045.0 |
Wartość firmy i wartości niematerialne i prawne |
944.0 |
1 119.0 |
1 270.0 |
1 418.0 |
648.0 |
912.0 |
1 583.0 |
2 586.0 |
3 516.0 |
4 654.0 |
4 014.0 |
10 473.0 |
10 157.0 |
9 800.0 |
19 023.0 |
22 138.0 |
21 485.0 |
19 568.0 |
17 360.0 |
17 722.0 |
18 397.0 |
16 242.0 |
16 942.0 |
18 193.0 |
17 007.0 |
Należności netto |
0.0 |
601.0 |
669.0 |
0.0 |
6 642.0 |
7 525.0 |
9 519.0 |
9 288.0 |
10 092.0 |
11 353.0 |
9 249.0 |
10 508.0 |
11 039.0 |
10 428.0 |
12 153.0 |
13 420.0 |
11 777.0 |
13 462.0 |
0.0 |
0.0 |
22 347.0 |
16 364.0 |
18 717.0 |
22 134.0 |
21 655.0 |
Inwestycje długoterminowe |
0.0 |
(2 077.0) |
(3 573.0) |
(3 768.0) |
(5 506.0) |
(2 762.0) |
1 993.0 |
1 084.0 |
101.0 |
(533.0) |
140.0 |
593.0 |
900.0 |
272.0 |
305.0 |
249.0 |
166.0 |
198.0 |
(320.0) |
(111.0) |
(3 530.0) |
719.0 |
775.0 |
255.0 |
1 637.0 |
Aktywa obrotowe |
18 806.0 |
21 776.0 |
23 806.0 |
23 385.0 |
22 764.0 |
21 402.0 |
24 522.0 |
29 887.0 |
28 097.0 |
34 182.0 |
29 901.0 |
28 723.0 |
33 348.0 |
34 848.0 |
34 582.0 |
38 807.0 |
38 153.0 |
43 099.0 |
42 821.0 |
47 236.0 |
47 844.0 |
46 898.0 |
53 789.0 |
59 795.0 |
59 917.0 |
Środki pieniężne i Inwestycje |
0.0 |
3 481.0 |
5 387.0 |
5 530.0 |
6 342.0 |
3 565.0 |
2 379.0 |
7 242.0 |
4 275.0 |
4 627.0 |
5 740.0 |
3 146.0 |
5 337.0 |
9 057.0 |
6 201.0 |
7 441.0 |
8 500.0 |
11 086.0 |
8 619.0 |
11 656.0 |
11 241.0 |
14 637.0 |
13 657.0 |
11 224.0 |
13 650.0 |
Zapasy |
8 640.0 |
9 262.0 |
9 113.0 |
8 987.0 |
8 429.0 |
8 985.0 |
9 931.0 |
9 939.0 |
11 563.0 |
15 204.0 |
11 771.0 |
12 879.0 |
14 191.0 |
12 856.0 |
13 700.0 |
15 066.0 |
14 519.0 |
15 418.0 |
17 122.0 |
17 826.0 |
18 051.0 |
15 733.0 |
20 997.0 |
26 052.0 |
23 661.0 |
Inwestycje krótkoterminowe |
0.0 |
3 481.0 |
5 387.0 |
5 530.0 |
6 342.0 |
3 565.0 |
0.0 |
0.0 |
1 329.0 |
1 834.0 |
1 310.0 |
751.0 |
512.0 |
813.0 |
832.0 |
1 521.0 |
1 282.0 |
1 147.0 |
1 507.0 |
1 266.0 |
4 811.0 |
587.0 |
438.0 |
969.0 |
339.0 |
Środki pieniężne i inne aktywa pieniężne |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 379.0 |
7 242.0 |
2 946.0 |
2 793.0 |
4 430.0 |
2 395.0 |
4 825.0 |
8 244.0 |
5 369.0 |
5 920.0 |
7 218.0 |
9 939.0 |
7 112.0 |
10 390.0 |
6 430.0 |
14 050.0 |
13 219.0 |
10 255.0 |
13 311.0 |
Należności krótkoterminowe |
0.0 |
3 099.0 |
3 226.0 |
0.0 |
3 183.0 |
3 898.0 |
3 821.0 |
4 529.0 |
4 904.0 |
4 841.0 |
3 989.0 |
4 476.0 |
4 698.0 |
4 189.0 |
4 740.0 |
5 938.0 |
5 671.0 |
7 100.0 |
7 899.0 |
7 831.0 |
8 266.0 |
8 459.0 |
9 881.0 |
11 594.0 |
11 236.0 |
Dług krótkoterminowy |
1 223.0 |
705.0 |
711.0 |
632.0 |
372.0 |
212.0 |
249.0 |
1 047.0 |
810.0 |
899.0 |
2 018.0 |
0.0 |
0.0 |
2 543.0 |
1 200.0 |
1 212.0 |
1 135.0 |
1 233.0 |
2 433.0 |
2 175.0 |
3 062.0 |
2 735.0 |
3 757.0 |
805.0 |
3 800.0 |
Zobowiązania krótkoterminowe |
7 444.0 |
8 008.0 |
8 810.0 |
8 694.0 |
7 962.0 |
9 136.0 |
10 445.0 |
12 045.0 |
12 832.0 |
14 298.0 |
14 375.0 |
13 633.0 |
13 245.0 |
13 903.0 |
16 741.0 |
17 979.0 |
15 331.0 |
17 378.0 |
20 519.0 |
20 887.0 |
23 140.0 |
21 644.0 |
24 525.0 |
24 440.0 |
27 614.0 |
Rozliczenia międzyokresowe |
0.0 |
294.0 |
343.0 |
0.0 |
285.0 |
8 153.0 |
1 251.0 |
1 075.0 |
1 282.0 |
1 029.0 |
1 893.0 |
0.0 |
0.0 |
6 043.0 |
9 585.0 |
10 053.0 |
7 755.0 |
8 293.0 |
9 022.0 |
1 187.0 |
10 740.0 |
9 646.0 |
10 052.0 |
770.0 |
802.0 |
Zobowiązania długoterminowe |
15 614.0 |
15 745.0 |
15 272.0 |
13 924.0 |
12 701.0 |
8 626.0 |
11 671.0 |
14 586.0 |
15 144.0 |
21 385.0 |
18 360.0 |
21 697.0 |
23 674.0 |
24 386.0 |
33 098.0 |
39 256.0 |
38 120.0 |
38 846.0 |
30 861.0 |
30 834.0 |
33 602.0 |
33 201.0 |
29 738.0 |
32 440.0 |
29 333.0 |
Rezerwy z tytułu odroczonego podatku |
1 509.0 |
1 596.0 |
1 893.0 |
0.0 |
1 077.0 |
1 076.0 |
1 092.0 |
1 243.0 |
1 333.0 |
1 363.0 |
754.0 |
2 132.0 |
938.0 |
481.0 |
2 207.0 |
1 717.0 |
1 373.0 |
1 380.0 |
1 100.0 |
1 118.0 |
960.0 |
792.0 |
1 040.0 |
1 365.0 |
1 220.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
3011.0 |
2584.0 |
2758.0 |
2921.0 |
2207.0 |
Zobowiązania ogółem |
23 058.0 |
23 753.0 |
24 082.0 |
22 618.0 |
20 663.0 |
17 762.0 |
22 116.0 |
26 631.0 |
27 976.0 |
35 683.0 |
32 735.0 |
35 330.0 |
36 919.0 |
38 289.0 |
49 839.0 |
57 235.0 |
53 451.0 |
56 224.0 |
51 380.0 |
51 721.0 |
56 742.0 |
54 845.0 |
54 263.0 |
56 880.0 |
56 947.0 |
Kapitał własny |
11 367.0 |
13 594.0 |
15 633.0 |
16 365.0 |
15 164.0 |
16 581.0 |
17 025.0 |
18 339.0 |
16 819.0 |
18 720.0 |
17 411.0 |
18 935.0 |
21 436.0 |
21 340.0 |
20 100.0 |
23 089.0 |
24 815.0 |
26 034.0 |
28 036.0 |
35 452.0 |
37 366.0 |
35 712.0 |
45 365.0 |
54 043.0 |
54 956.0 |
Udziały mniejszościowe |
398.0 |
467.0 |
591.0 |
0.0 |
499.0 |
504.0 |
604.0 |
634.0 |
768.0 |
939.0 |
869.0 |
959.0 |
1 019.0 |
1 128.0 |
1 052.0 |
1 315.0 |
1 467.0 |
1 649.0 |
1 787.0 |
1 916.0 |
1 854.0 |
1 403.0 |
1 720.0 |
2 116.0 |
2 213.0 |
Pasywa |
34 823.0 |
37 814.0 |
40 897.0 |
38 983.0 |
36 326.0 |
34 847.0 |
40 349.0 |
46 238.0 |
46 331.0 |
56 281.0 |
51 015.0 |
55 224.0 |
59 374.0 |
60 757.0 |
70 991.0 |
81 639.0 |
79 733.0 |
83 907.0 |
81 203.0 |
87 173.0 |
94 108.0 |
90 557.0 |
99 628.0 |
110 923.0 |
111 903.0 |
Inwestycje |
196.0 |
1 404.0 |
1 814.0 |
1 762.0 |
836.0 |
803.0 |
1 993.0 |
1 084.0 |
1 430.0 |
1 301.0 |
1 450.0 |
1 344.0 |
1 412.0 |
1 085.0 |
1 137.0 |
1 770.0 |
1 448.0 |
1 345.0 |
1 187.0 |
1 155.0 |
1 281.0 |
1 306.0 |
1 213.0 |
1 224.0 |
1 976.0 |
Dług (mln) |
5 976.0 |
4 968.0 |
3 541.0 |
2 409.0 |
1 618.0 |
1 116.0 |
4 394.0 |
8 053.0 |
8 111.0 |
13 708.0 |
11 005.0 |
10 850.0 |
12 500.0 |
15 268.0 |
20 874.0 |
23 387.0 |
21 349.0 |
20 398.0 |
17 479.0 |
16 149.0 |
17 982.0 |
17 824.0 |
19 212.0 |
21 267.0 |
21 694.0 |
Środki pieniężne i inne aktywa pieniężne |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 379.0 |
7 242.0 |
2 946.0 |
2 793.0 |
4 430.0 |
2 395.0 |
4 825.0 |
8 244.0 |
5 369.0 |
5 920.0 |
7 218.0 |
9 939.0 |
7 112.0 |
10 390.0 |
6 430.0 |
14 050.0 |
13 219.0 |
10 255.0 |
13 311.0 |
Dług netto |
5 976.0 |
4 968.0 |
3 541.0 |
2 409.0 |
1 618.0 |
1 116.0 |
2 015.0 |
811.0 |
5 165.0 |
10 915.0 |
6 575.0 |
8 455.0 |
7 675.0 |
7 024.0 |
15 505.0 |
17 467.0 |
14 131.0 |
10 459.0 |
10 367.0 |
5 759.0 |
11 552.0 |
3 774.0 |
5 993.0 |
11 012.0 |
8 383.0 |
Ticker |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
SKF-B.ST |
Waluta |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |
SEK |