10-year summary

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SEK M
Divested units
Goodwill amortization
Nonrecuring items 2)
Financial income
Financial expenses
Income tax
Minority interest
 
Balance sheet
Fixed assets (excl. financial receivables)
Receivables and inventories
Financial receivables
Short-term investments
Cash and bank balances
Minority interest
Provisions 4)
Interest-bearing debt
Operating- and other noninterest-bearing liabilities
 
2007
2006
2005
2004
2003
2002
2001
2000
1999
1998
1997
1996
1995
1994
1993
1992
1991
1990
SEK M
105,913
101,439
96,395
89,967
85,338
88,046
82,380
67,157
64,896
61,273
58,595
55,405
65,317
33,676
33,420
32,137
32,760
31,122
10,147
8,505
1,928
7,669
7,757
9,101
9,492
10,534
6,733
6,428
5,568
4,581
7,350
1,810
2,172
8,608
2,605
3,338
4,684
4,289
4,051
4,455
4,820
5,487
4,473
2,909
2,613
2,463
2,611
2,277
1,254
676
1,012
781
662
533
2,651
2,072
1,775
2,604
2,482
3,065
3,286
2,977
2,216
1,510
1,219
939
2,370
910
680
462
607
626
2,870
2,475
1,886
1,777
1,559
1,986
2,976
2,720
2,123
2,046
1,259
1,352
2,483
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
495
35
-313
186
507
-
-
-
-
-
-
-
-
-
-
-
-
-
869
515
375
468
481
-
-
-
-
-
-
-
644
491
528
438
-235
739
-
-
-
-
-
-58
-331
-5,784
-1,167
26
-300
-233
-18
-108
285
384
436
299
193
-11
197
224
191
-
-
-
-
-
-
-
-
-
3
29
100
210
175
204
777
776
837
Divested units
-
-
-
-
-1,130
-1,137
-1,010
-729
-602
-407
-372
-288
-301
-288
-287
-248
-200
-105
Goodwill amortization
-
-
-
-
-
-
-
2,031
-
-
-
-
296
-1,220
25
6,577
-118
268
Nonrecuring items 2)
193
179
156
453
331
409
380
531
322
280
280
319
296
252
217
319
320
469
Financial income
-2,103
-1,851
-1,651
-1,537
-1,121
-1,432
-1,782
-1,738
-1,534
-1,539
-1,391
-1,327
-1,915
-1,002
-1,179
-1,899
-1,740
-1,404
Financial expenses
8,237
6,833
433
6,585
6,967
8,078
8,090
9,327
5,521
5,169
4,457
3,573
5,731
1,060
1,210
7,028
1,185
2,403
-1,076
-1,366
21
-1,393
-1,861
-2,341
-2,444
-2,133
-1,849
-1,680
-1,337
-1,144
-1,915
-423
-79
-796
-150
-838
Income tax
-
-
-
-
-31
-44
-59
-46
-70
-110
-361
-312
-352
-82
-60
-32
-134
-59
Minority interest
7,161
5,467
454
5,192
5,075
5,693
5,587
7,148
3,602
3,379
2,759
2,117
3,464
555
1,071
6,200
901
1,506
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Balance sheet
104,150
95,994
101,840
96,162
77,885
75,462
76,967
60,962
61,065
55,147
50,351
48,599
46,822
31,336
30,983
30,613
30,820
32,903
Fixed assets (excl. financial receivables)
33,848
32,572
29,424
25,681
22,880
24,765
23,338
21,765
18,311
18,790
16,726
15,461
16,435
10,606
10,409
10,775
11,022
12,252
Receivables and inventories
3,663
2,970
2,035
682
4,146
6,151
3,888
3,497
1,278
1,485
1,370
1,072
1,128
131
175
212
247
-
Financial receivables
366
409
237
128
749
306
406
502
2,930
1,132
676
1,469
1,692
1,873
1,296
3,435
672
2,216
Short-term investments
3,023
1,599
1,684
3,498
1,696
2,520
2,189
1,440
1,630
1,819
1,582
1,393
2,053
982
1,388
1,064
806
1,058
Cash and bank balances
145,050
133,544
135,220
126,151
107,356
109,204
106,788
88,166
85,214
78,373
70,705
67,994
68,130
44,928
44,251
46,099
43,567
48,429
63,590
58,299
56,343
54,350
49,754
47,983
45,983
39,898
34,133
28,404
24,653
22,906
22,024
19,590
19,963
18,284
11,144
11,350
689
664
767
768
751
687
736
612
587
1,386
1,496
3,331
3,493
853
916
807
688
586
Minority interest
14,199
14,240
17,035
16,962
13,620
14,773
14,870
13,242
8,632
10,906
10,452
9,441
 
 
 
 
 
 
Provisions 4)
42,323
38,601
39,036
35,021
25,266
27,498
27,746
18,694
28,881
25,806
22,647
21,396
22,439
13,559
13,673
15,510
19,281
21,818
Interest-bearing debt
24,249
21,740
22,039
19,050
17,965
18,263
17,453
15,720
12,981
11,871
11,457
10,920
20,174
10,926
9,699
11,498
12,454
14,675
Operating- and other noninterest-bearing liabilities
145,050
133,544
135,220
126,151
107,356
109,204
106,788
88,166
85,214
78,373
70,705
67,994
68,130
44,928
44,251
46,099
43,567
48,429
96,368
96,192
95,341
87,208
71,687
71,863
67,878
57,501
54,616
47,400
44,840
43,311
47,408
31,780
31,459
29,581
30,918
24,217
-37,368
-36,399
39,826
34,745
22,306
23,899
23,861
15,880
24,073
24,756
22,254
20,615
20,363
-
-
-
-
-
 
 
 
-
-
-
-
-
-
-
-
-
-
10,573
10,814
10,799
17,556
18,407
8,127
6,304
7,471
8,351
10,102
12,421
14,206
9,005
8,707
6,678
6,631
5,959
6,533
2,422
2,689
2,930
2,329
-
4,508
2,772
4,362
5,435
8,134
8,620
11,249
6,652
6,740
3,875
4,850
4,210
4,772
1,174
1,313
1,388
633
-
1,473
1,538
1,768
-6,529
901
-855
-4,254
10,609
-3,760
345
482
2,006
-3,673
504
2,285
5,278
1,738
-
-5,165
-5,672
-4,859
4,270
3,902
3,523
3,479
2,245
2,046
2,058
2,207
2,489
2,927
1,377
1,479
1,461
1,495
2,518
-1,342
-935
-2,086
2,398
2,949
2,823
1,469
1,121
2,615
2,248
983
1,126
1,849
1,599
74
316
462
2,108
-4,545
-323
-428
9,340
4,808
6,483
13,286
2,349
10,400
2,793
3,431
1,558
7,698
821
520
383
1,928
6,899
 
   
1) Operating profit has been distributed (pro forma) for 1995-1999.
2) Only reported seperately 1990-1995 and 2000.
3) Earnings in Sweden have been charged with 28% deferred tax in 1994-2003, and 30% in 1990-1993.
4) The provisions are included in operating- and other interest-free liabilities in 1990-1995.
5) Calculation of average return on capital employed and shareholders' equity is based on five measurements during 1993-2003, four measurements in 1991 and 1992 and two measurements in earlier years.
6) Data for 1995-1998 adjusted in accordance with SCA´s new cash flow analysis applied as of 1999.