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/

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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