Key figures

 

Key figures 2015-2019 2019  2018 2017  2016  2015 
Sales SEK millions 76,485  74,941  66,059  55,354  56,864 
Operating profit/loss SEK millions 2,159  5,181  3,838  1,213  -243
Profit /loss after financial items SEK millions 1,770  4,644  2,863  324  -1,171
Profit/loss after tax SEK millions 1,279  3,805  2,311  937  -508
Cash flow from current operations SEK millions 3,447   5,969 6,511  2,293  2,802
Net debt SEK millions 11,696  8,582  11,574  17,887  23,156
Total assets SEK millions 93,978  92,487  87,476  90,913  85,158
Return on capital employed before tax % 3.0  7.0  6.0  2.0  0.0
Return on equity after tax % 2.0  4.0  2.0  -1.0
Net debt/equity ratio % 19  14  22  34  52
Number of employees at year-end 14,514  15,223  14,925  14,980  16,045

 

Excluding items affecting comparability
From 2019 including IFRS16