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Selected financial data

(kSEK) 2024 2023 2022 2021 2020
The Share
Number of shares by end of the year’ 6.195.300 6.195.200 6.195.200 6.195.200 6.195.200
Own shares by 31st December* 0 0 0 0 0
Market price 31st December, SEK 16.65 29 88,4 56.80
Earnings per share, SEK* -1,24 -1.00 -0,46 3,44 2.87
Equity per share, SEK* 16,29 17.11 18.17 19,42 16.92
Dividend per share, SEK* 0 0 1,25* 1.5
*For approval at Annual General Meeting
Company size
Number of employees by end of year 74 73 69 72 60
Market Cap 31 st December, tSEK 103.150 179.660 547.665 351.887
Operations, tSEK
Sales 550.307 533.849 487.501 514.845 450.064
EBITDA -1.821 -1.272 -3.104 29.482 25.669
Operating profit -4.445 -3.165 -4.748 28.547 24.916
Profit after financial items -6.764 -5.915 -5.166 27.956 23.293
Profit after tax -7.699 -6.194 -2.823 21.303 17.765
Margins
Gross margin, % 64,5 65.2 65.3 68.0 68.7
EBITDA margin, % -0,3 -0,2 -0.6 5.7 5.7
Operating margin, % -0,8 -0.6 -1.0 5.5 5.5
Profit margin after tax, % -1,2 -1.1 -1.1 5.4 5.2
Growth
Sales growth, % 9.5 -5.3 14.4 0
Growth in earnings per share,% neg neg 19.9 -36.7
Balance sheet data
Total assets 248.716 249.060 251.673 238.351 191.491
Equity 100.914 106.030 112.572 120.316 104.808
Share Capital 6.195 6.195 6.195 6.195 6.195
Effectiviness
Return on capital employed, % -4.1 19.6 22.8
Return on equity, % -7,6 -5.5 -2.5 17.7 17
Sales per employee 7.437 7.519 7.065 7.801 7.827
Gross profit per employee 4.793 4.905 4.616 5.304 5.375
Profit per employee -91 -83 -75 424 405
Financial position
Debt-equity ratio, times 1,46 1.35 1.24 0,98 0.83
Interest coverage, times -3.09 -4.4 48,1 43.4
Equity ratio, % 40,6 42.6 44.7 50,5 54.7
Cash flow
Cash flow from operating activities -5.400 28.027 -15.450 -7.870 19.680
Cash flow from financing activities 10.395 -2.171 16.589 12.071 -18.393
Investments 4.432 3.066 2.954 1.882
* There are no dilutive effects.

Selected financial data

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The Share (kSEK)

Number of shares by end of the year’
2024: 6.195.200
2023: 6.195.200
2022: 6.195.200
2021: 6.195.200
2020: 6.195.200
Own shares by 31st December*
2024: 0
2023: 0
2022: 0
2021: 0
2020: 0
Market price 31st December, SEK
2024:
2023: 16,65
2022: 29
2021: 88,4
2020: 56,80
Earnings per share, SEK*
2024: -1,24
2023: -1.00
2022: -0,46
2021: 3,44
2020: 2,87
Equity per share, SEK*
2024: 16,29
2023: 17,11
2022: 18,17
2021: 19,42
2020: 16,92
Dividend per share, SEK*
2024:
2023: 0
2022: 0
2021: 1,25*
2020: 1,50

Company size

Number of employees by end of year
2024: 74
2023: 73
2022: 69
2021: 72
2020: 60
Market Cap 31 st December,    tSEK
2024: 
2023: 103.150
2022: 179.660
2021: 547.665
2020: 351,887

Operations, tSEK

Sales
2024: 550.307
2023: 533.849
2022: 487.501
2021: 514.845
2020: 450.064
EBITDA
2024: -1.821
2023: -1272
2022: -3.104
2021: 29.482
2020: 25.669
Operating profit
2024: -4.445
2023: -3.165
2022: -4.748
2021: 28.547
2020: 24.916
Profit after financial items
2024: -6.764
2023: -5.915
2022: -5.166
2021: 27.956
2020: 23.293
Profit after tax
2024: -7.699
2023: -6.194
2022: -2.823
2021: 21.303
2020: 17.765

Margins

Gross margin, %
2024: 64,5
2023: 65.2
2022: 65.3
2021: 68.0
2020: 68.7
EBITDA %
2024: -0,3
2023: -0,2
2022: -0.6
2021: 5.7
2020: 5.7
Operating margin, %
2024:-0,8
2023: -0,6
2022: -1.0
2021: 5.5
2020: 5.5
Profit margin after tax, %
2024: -1,2
2023: -1,1
2022: -1.1
2021: 5.4
2020: 5.2

Growth

Sales growth, %
2024:
2023: 9.5
2022: -5.3
2021: 14.4
2020: 0
Growth in earnings per share,%
2024:
2023: neg
2022: neg
2021: 19.9
2020: -36.7

Balance sheet data

Total assets
2024: 248.716
2023: 249.060
2022: 251.673
2021: 238.351
2020: 191.491
Equity
2024: 100.914
2023: 106.030
2022: 112.572
2021: 120.316
2020: 104.808
Share Capital
2024: 6.195
2023: 6.195
2022: 6.195
2021: 6.195
2020: 6.195

Effectiviness

Return on capital employed, %
2024:
2023:
2022: -4.1
2021: 19.6
2020: 22.8
Return on equity, %
2024: -7,6
2023: -5,5
2022: -2-5
2021: 17,7
2020: 17
Sales per employee
2024: 7.437
2023: 7.519
2022: 7.065
2021: 7.801
2020: 7.827
Gross profit per employee
2024: 4.793
2023: 4.905
2022: 4.616
2021: 5.304
2020: 5.375
Profit per employee
2024: -91
2023: -83
2022: -75
2021: 424
2020: 405

Financial position

Debt-equity ratio, times
2024: 1,46
2023: 1,35
2022: 6.195
2021: 0,98
2020: 0.83
Interest coverage, times
2024:
2023: -3,09
2022: -4.4
2021: 48,1
2020: 43.4
Equity ratio, %
2024: 40,6
2023: 42,6
2022: 44.7
2021: 50,5
2020: 54.7

Cash flow

Cash flow from operating activities
2024: -5.400
2023: 28.027
2022: -15.450
2021: -7.870
2020: 19.680
Cash flow from financing activities
2024: 10.395
2023: -2.171
2022: 16.589
2021: 12.071
2020: -18.393
Investments
2024: 4.432
2023: 3.066
2022: 2.954
2021:
2020: 1.882

Gross profit: Gross margin as a percentage of net sales. EBITDA margin: Operating income before depreciation and amortization as a percentage of net sales. Operating margin: Operating profit after depreciation and amortization as a percentage of net sales. Profit margin: Profit after financial items as a percentage of net sales. Equity ratio: Equity as a percentage of total assets. Return on capital employed: Profit after financial items plus financial expenses divided by capital employed. Return on equity: Net income as a percentage of shareholders’ equity at period end. Debt-equity ratio: Total liabilities divided by shareholders equity. Interest coverage ratio: Operating income divided with interest expenses.