Five year summary

FIVE YEAR SUMMARY          
         
Income statement, MSEK 2010 2009 2008 2007 2006
Net sales 287.7 232.8 274.3 228.8 134.8
Operating earnings 43.1 34.0 37.9 32.6 -11.4
Profit/loss after financial items 43.6 31.6 40.9 34.0 -10.2
Net Income 102.8 34.4 67.9 34.0 -10.2
           
Balance sheet, MSEK 2010 2009 2008 2007 2006
Fixed assets 159.2 134.6 103.5 82.1 65.3
Current assets 371.6 273.7 254.3 178.9 128.9
Total assets 530.8 408.3 357.8 261.0 194.2
Shareholder's equity 440.6 335.2 274.5 181.2 136.8
Liabilities 90.2 73.1 83.3 79.8 57.4
Total equity and liabilities 530.8 408.3 357.8 261.0 194.2
           
Key ratios 2010 2009 2008 2007 2006
Gross margin (%) 63 76 72 71 71
Capital expenditures, MSEK 53.8 53.3 45.7 49.0 44.7
Return on capital employed (%) 11 12 19 21 Neg.
Return on equity (%) 27 11 30 21 Neg.
Operating margin (%) 15 15 14 14 Neg.
Earnings per share          
   - basic, SEK 0.26 0.09 0.18 0.09 -0.03
   - diluted, SEK 0.26 0.09 0.18 0.09 -0.03
Dividend per share 0 0 0 0 0
Cash flow per share, SEK 0.19 0.16 0.26 0.23 0.05
Equity/asset ration (%) 83 82 77 69 70
Net asset value per share, SEK          
   - before dilution, SEK 1.13 0.86 0.72 0.49 0.37
   - after dilution, SEK 1.13 0.86 0.71 0.49 0.37
Number of employees as of December 31 133 120 108 98 82
Added value per employee, KSEK 1,385 1,377 1,604 1,540 993
Share price as of December 31, SEK 3.43 4.75 3.36 4.34 8.00
Number of shares as of December 31 389,933,009 389,933,009 379,890,569 370,602,820 367,757,010
 

 

  

Return on equity

Net profit as a percentage of average shareholders’ equity.

Return on capital employed

Operating earnings after financial items plus financial expenses in relation to average capital employed. Capital employed is the balance sheet total less non-interest bearing liabilities including deferred tax liabilities.

Gross margin

Gross profit as a percentage of net sales.

Added value per employee

Operating earnings plus salaries and fringe benefits relative to the average number of employees.

Cash flow per share

Cash flow from operating activities before changes in operating capital divided by average number of shares issued. 

Earnings per share, diluted

Profit for the year divided by average number of shares issued during the year (for more information please see under accounting principles).

Earnings per share, basic

Profit/loss for the year divided by the average number of shares during the year.

Operating margin

Calculated on profit before net financial items and before taxes.

Equity/assets ratio

Shareholders’ equity divided by the balance sheet total.

Net asset value per share, basic

Shareholders’ equity plus undisclosed reserves in assets with an objective market value less deferred tax divided by number of shares during the year.

Net asset value per share, diluted

Shareholders’ equity plus undisclosed reserves in assets with an objective market value less deferred tax divided by number of shares during the year.

 

 

 

© 2011 Net Insight AB        Privacy policy     Site map