Report on the Group income statement, IFRS

Group net sales according to IFRS increased by nine percent and amounted during January-March 2022 to SEK 12,137 million (11,124). Adjusted for acquired and divested units and exchange rate effects net sales increased by seven percent. The adjustment of our own housing development projects to the completion method affected net sales by SEK -407 million (-92).

Operating profit according to IFRS for the period January-March 2022 amounted to SEK -20 million (-114) and the operating margin was -0.2 percent (-1.0). The adjustment of our own housing development projects to the completion method affected operating profit by SEK -39 million (-49).

MSEK Jan-Mar
2022
Jan-Mar
2021
Apr 2021-
Mar 2022
Jan-Dec
2021
Mkr Jan-mar
2022
Jan-mar
2021
Apr 2021-
mar 2022
Jan-dec
2021
Net sales Nettoomsättning 12,137 11,124 59,936 58,923
Production costs Kostnader för produktion -11,304 -10,440 -53,886 -53,022
Gross profit Bruttoresultat 833 684 6,050 5,901
Sales and administrative expenses Försäljnings- och administrationskostnader -866 -820 -3,346 -3,300
Other operating income Övriga rörelseintäkter 32 38 385 391
Other operating costs Övriga rörelsekostnader -19 -16 -20 -17
Operating profit Rörelseresultat -20 -114 3,069 2,975
Financial income Finansiella intäkter 24 30 88 94
Financial expenses Finansiella kostnader -39 -38 -168 -167
Net finance Finansnetto -15 -8 -80 -73
Pre-tax profit Resultat före skatt -35 -122 2,989 2,902
Tax Skatt 7 23 -541 -525
Profit for the period Periodens resultat -28 -99 2,448 2,377
Profit for the period, attributable to: Periodens resultat hänförligt till:
Shareholders in parent company Moderbolagets ägare -28 -99 2,448 2,377
Non-controlling interests Innehav utan bestämmande inflytande 0 0 0 0
Profit for the period Periodens resultat -28 -99 2,448 2,377
Key ratios, IFRS Nyckeltal, IFRS
Earnings per share before and after dilution, SEK Resultat per aktie före och efter utspädning, kr -0.10 -0.34 8.30 8.06
Average number of outstanding shares, million Genomsnittligt antal utestående aktier, miljoner 295.0 295.0 295.0 295.0
Return on capital employed, % Räntabilitet på sysselsatt kapital, % 11.4 1) 14.1 1) 11.4 11.5
Return on equity, % Räntabilitet på eget kapital, % 18.9 1) 24.2 1) 18.9 18.9

 

1) Calculated on rolling 12 months

Report on the Group income statement and other comprehensive income in summary, IFRS

MSEK Jan-Mar
2022
Jan-Mar
2021
Apr 2021-
Mar 2022
Jan-Dec
2021
Mkr Jan-mar
2022
Jan-mar
2021
Apr 2021-
mar 2022
Jan-dec
2021
Profit for the period Periodens resultat -28 -99 2,448 2,377
Other comprehensive income Övrigt totalresultat
Items that can be reclassified or have been reclassified to profit for the period
Poster som har omförts eller kan omföras till periodens resultat
Translation differences for the period from translation of foreign operations
Periodens omräkningsdifferenser vid omräkning av utländska verksamheter
137 171 150 184
Changes in fair value of cash flow hedges for the period
Periodens förändringar i verkligt värde på kassaflödessäkringar
2 3 5 6
Tax referring to items that can be reclassified or have been reclassified to profit for the period
Skatt hänförligt till poster som har omförts eller kan omföras till periodens resultat
-1 -1 -1 -1
Other comprehensive income for the period Periodens övrigt totalresultat 138 173 154 189
Total comprehensive income for the period Periodens totalresultat 110 74 2,602 2,566
Total comprehensive income for the period, attributable to: Periodens totalresultat hänförligt till:
Shareholders in parent company Moderbolagets ägare 110 74 2,602 2,566
Non-controlling interests Innehav utan bestämmande inflytande 0 0 0 0
Total comprehensive income for the period Periodens totalresultat 110 74 2,602 2,566