Swedbank

Company Search    
FinancialCompany Info

Financial

View : Period :
1.Income Statement
 
 
 
Revenues

Operating Expences
EBITDA
Depreciation & amortizations

Net operating(EBIT):

Net financial
Profit before taxes
Taxes
Discontinued operations

Profit after taxes
Minority interests
Profits to shareholders

2.Balance
Assets
Current assets
Non-current assets

Total assets:

Equity & liabilities
Current liabilities
Non-current liabilities
Equity

Total liabilities and equity

3.Cash flow statement
Operating activities:
Investing activities:
Financing activities:

Cash begining of period:
Cash end of period:

Change in cash flow:

4.Stock Value
Stockprice A-stock
Stockprice B-stock
Stockprice C-stock
Number of A stocks
Number of B stocks
Number of C stocks

M.cap

Valuation ratios:
P/E
P/B
EV/EBITDA
 
5.Key figures
Profitability ratios:
Profit margin
 
Growth ratios:
Return on Equity before tax(ROE):
Return on Equity after tax(ROE):
Return on Assets before tax(ROA):
Return on Assets after tax(ROA):
 
Risk ratios:
Equity Ratio(EQ%)
Debt/Equity
Risk ratios:
Working capital:
6.Download Report
 
 
2013
Q1

16 824

11 799
5 025
341

4 684

602
5 286
1 054
421

3 810
3
3 807

 
 
115 322
1 955 283

2 070 605

 
150 738
1 816 309
103 558

2 070 605

 
89 846
1 123
-3 741

0
227 071

87 228

 
0
0
0
1,222,566,180
0
0

0

 
0
0
391
 
 
 
23%
 
 
-
-
-
-
 
 
5%
19
 
1
 
--
 
2013
Q2

17 031

11 928
5 103
678

4 425

320
4 744
986
2 038

1 720
1
1 719

 
 
97 792
1 935 440

2 033 232

 
133 342
1 790 374
109 515

2 033 232

 
108 311
989
-34 158

0
215 869

75 142

 
0
0
0
1,222,566,180
0
0

0

 
0
0
377
 
 
 
10%
 
 
-
-
-
-
 
 
5%
18
 
1
 
--
 
2013
Q3

16 946

11 288
5 658
235

5 423

184
5 606
1 078
16

4 512
6
4 506

 
 
86 170
1 892 443

1 978 613

 
129 892
1 734 424
114 297

1 978 613

 
27 854
1 396
-27 305

0
142 561

1 946

 
0
0
0
1,222,566,180
0
0

0

 
0
0
330
 
 
 
27%
 
 
-
-
-
-
 
 
6%
16
 
1
 
--
 
2013
Q4

17 261

11 938
5 322
553

4 769

498
5 267
1 309
52

3 906
5
3 901

 
 
90 373
1 876 098

1 966 472

 
127 399
1 720 591
118 481

1 966 472

 
-28 458
1 629
-50 415

0
64 134

-77 245

 
0
0
0
1,222,566,180
0
0

0

 
0
0
347
 
 
 
23%
 
 
0%
0%
0%
0%
 
 
6%
16
 
1
 
--