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文檔簡(jiǎn)介
/
Million
Consolidatedincomestatements
SEK
M
2008
2009
Netsales
Note7
304,642
218,361
Costofsales
(238,928)
(186,167)
Grossincome
65,713
32,194
Researchanddevelopmentexpenses
Note7
(14,348)
(13,193)
Sellingexpenses
(27,129)
(25,334)
Administrativeexpenses
(6,940)
(5,863)
Otheroperatingincomeandexpenses
Note8
(1,539)
(4,798)
Incomefrominvestmentsinassociatedcompanies
Note7
,
9
25
(14)
Incomefromotherinvestments
Note10
69
(6)
Operatingincome
Note7
15,851
(17,013)
Interestincomeandsimilarcredits
1,171
390
Interestexpensesandsimilarcharges
(1,935)
(3,559)
Otherfinancialincomeandexpenses
Note11
(1,077)
(392)
Incomeafterfinancialitems
14,010
(20,573)
Incometaxes
Note12
(3,994)
5,889
Incomefortheperiod
10,016
(14,685)
Attributableto:
Equityholdersoftheparentcompany
9,942
(14,718)
Minorityinterests
Note13
74
33
10,016
(14,685)
Basicearningspershare,SEK
Note23
4.90
(7.26)
Dilutedearningspershare,SEK
Note23
4.90
(7.26)
Othercomprehensiveincome
Incomefortheperiod
10,016
(14,685)
Exchangedifferencesontranslationofforeignoperations
6,149
(1,246)
Exchangedifferencesonhedgeinstrumentsofnetinvestmentinforeignoperations
(414)
159
Accumulatedtranslationdifferencereversedtoincome
(82)
(136)
Available-for-saleinvestments
(459)
86
Cashflowhedges
(2,249)
2,313
Othercomprehensiveincome,netofincometaxes
2,945
1,176
Totalcomprehensiveincomefortheperiod
12,961
(13,509)
Attributableto:
Equityholdersoftheparentcompany
12,874
(13,561)
Minorityinterests
87
52
12,961
(13,509)
Consolidatedbalancesheets
SEKM
December31,2008
December31,2009
Assets
Non-currentassets
Intangibleassets
Note14
43,958
41,628
Tangibleassets
Note14
Property,plantandequipment
56,248
54,289
Investmentproperty
1,022
991
Assetsunderoperatingleases
25,429
82,699
20,388
75,668
Financialassets
Associatedcompanies
Note15
652
588
Othershares
andparticipations
Note15
1,301
1,456
Non-currentcustomer-financingreceivables
Note16
50,432
39,713
Deferredtaxassets
Note12
11,180
12,595
Prepaidpensions
Note24
2,442
2,049
Non-currentinterest-bearingreceivables
Note17
694
585
Othernon-currentreceivables
Note17
3,023
69,724
3,038
60,024
Totalnon-currentassets
196,381
177,320
Currentassets
Inventories
Note18
55,045
37,727
Currentreceivables
Customer-financingreceivables
Note19
48,057
42,264
Taxassets
1,810
1,523
Interest-bearingreceivables
Note20
1,965
410
Accountsreceivable
Note20
30,523
21,337
Otherreceivables
Note20
15,024
12,082
Noninterest-bearingassetsheldforsale
Note4
–
1,684
Interest-bearingassetsheldforsale
–
97,379
8
79,308
Marketablesecurities
Note21
5,902
16,676
Cashandcashequivalents
Note22
17,712
21,234
Totalcurrentassets
176,038
154,945
Totalassets
372,419
332,265
Shareholders’equityandliabilities
Shareholders’equity
Note23
Sharecapital
2,554
2,554
Additionalcontributedcapital
–
–
Reserves
5,078
6,235
Retainedearnings
66,436
72,334
Incomefortheperiod
9,942
(14,718)
Equityattributabletotheequityholdersoftheparentcompany
84,010
66,405
Minorityinterests
630
629
Totalshareholders’equity
84,640
67,034
Non-currentprovisions
Provisionsforpost-employment
benefits
Note24
11,705
8,051
Provisionsfordeferredtaxes
Note12
8,260
3,638
Otherprovisions
Note25
8,136
28,101
6,360
18,049
Non-currentliabilities
Note26
Bondloans
35,798
49,191
Otherloans
47,298
56,035
Otherliabilities
10,442
93,538
9,888
115,114
Currentprovisions
Note25
10,883
9,487
Currentliabilities
Note27
Loans
62,631
51,626
Noninterest-bearingliabilitiesheldforsale
Note4
–
272
Tradepayables
51,025
35,955
Taxliabilities
1,204
623
Otherliabilities
40,397
155.257
34,105
122,581
Totalshareholders’equityandliabilities
372,419
332,265
Assetspledged
Note28
1,380
958
Contingentliabilities
Note29
9,427
9,607
ChangesinconsolidatedShareholders'equity
Shareholders′equityattributabletoequityholdersoftheparentcompany
Share
Other
Translation
Retained
Minority
Total
SEKM
capital
reserves1)
reserve
earnings
Total
interests
equity
BalanceatDecember31,2007
2,554
435
1,711
77,502
82,202
579
82,781
Incomefortheperiod
–
–
–
9,942
9,942
74
10,016
Othercomprehensiveincome
Translationdifferences
–
–
6,126
–
6,126
23
6,149
Translationdifferencesonhedgeinstrumentsofnetinvestmentsinforeignoperations
–
–
(414)
–
(414)
–
(414)
Accumulatedtranslationdifferencereversedtoincome
–
–
(82)
–
(82)
–
(82)
Available-for-saleinvestments:
Note15
,
23
Gains/lossesat
valuationtofairvalue
–
(459)
–
–
(459)
–
(459)
Changein
hedgereserve
Note23
–
(2,239)
–
–
(2,239)
(10)
(2,249)
Othercomprehensiveincome
–
(2,698)
5,630
–
2,932
13
2,945
Totalincomefortheperiod
–
(2,698)
5,630
9,942
12,874
87
12,961
Transactionswithshareholders
Dividends
–
–
–
(11,150)
(11,150)
(54)
(11,204)
Sharebasedpayments
Note34
–
–
–
73
73
–
73
Changesinminorityinterests
–
–
–
–
–
(62)
(62)
Otherchanges
–
–
–
11
11
80
91
Transactionswithshareholders
(11,066)
(11,066)
(36)
(11,102)
BalanceatDecember31,2008
2,554
(2,263)
7,341
76,378
84,010
630
84,640
Incomefortheperiod
–
–
–
(14,718)
(14,718)
33
(14,685)
Othercomprehensiveincome
Translationdifferences
–
–
(1,252)
–
(1,252)
6
(1,246)
Translationdifferencesonhedgeinstrumentsofnetinvestmentsinforeignoperations
–
–
159
–
159
–
159
Accumulatedtranslationdifferencereversedtoincome
–
–
(136)
–
(136)
–
(136)
Available-for-saleinvestments:
Note15
,
23
Gains/lossesat
valuationtofairvalue
–
86
–
–
86
–
86
Changein
hedgereserve
Note23
–
2,300
–
–
2,300
13
2,313
Othercomprehensiveincomefortheperiod
–
2,386
(1,229)
–
1,157
19
1,176
Totalincomefortheperiod
–
2,386
(1,229)
(14,718)
(13,561)
52
(13,509)
Transactionswithshareholders
Dividends
–
–
–
(4,055)
(4,055)
(15)
(4,070)
Sharebasedpayments
Note34
–
–
–
4
4
–
4
Changesinminorityinterests
–
–
–
–
–
(2)
(2)
Otherchanges
–
–
–
7
7
(36)
(29)
Transactionswithshareholders
(4,044)
(4,044)
(53)
(4,097)
BalanceatDecember31,2009
2,554
123
6,112
57,616
66,405
629
67,034
1Forspecificationofotherreservespleasesee
Note23
.
Consolidatedcash-flowstatements
SEKM
2008
2009
Operatingactivities
Operatingincome
15,851
(17,013)
Depreciationandamortization
Note14
13,524
15,227
Otheritemsnotaffectingcash
Note30
(133)
4,397
Changesinworkingcapital:
(Increase)/decreaseinreceivables
3,209
10,271
(Increase)/decreasein
customerfinancereceivables
(10,174)
12,806
(Increase)/decreaseininventories
(6,664)
15,225
Increase/(decrease)in
liabilitiesandprovisions
(9,675)
(21,387)
Interestandsimilaritemsreceived
1,100
353
Interestandsimilaritemspaid
(1,302)
(2,905)
Otherfinancialitems
109
(514)
Incometaxespaid
(5,076)
(1,604)
Cash-flowfromoperatingactivities
769
14,856
Investingactivities
Investmentsinfixedassets
(12,664)
(10,464)
Investmentsinleasingassets
(5,440)
(4,246)
Disposalsoffixedassetsandleasingassets
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