Parent company

The parent company Peab AB’s net sales for the first quarter 2025 amounted to SEK 248 million (179) and mainly consisted of internal Group services. Profit for the period amounted to SEK -17 million (-5).

The parent company’s assets mainly consist of participations in Group companies amounting to SEK 10,339 million (10,433). The assets have been financed from equity of SEK 13,345 million (11,804). During the period, the parent company reported share-based payments of SEK 10 million in equity.

As of February 1, 2024 Peab’s Swedish support functions are run in Peab AB. The change has been implemented through a so-​called business transition, which means that all employees in Peab Support AB (Shared Service Centre) and Peab Utveckling AB have been offered a transfer of employment to Peab AB.

The parent company is indirectly affected by the risks described in the section Risks and uncertainty factors.

Report on the parent company income statement in summary

MSEK Jan-Mar
2025
Jan-Mar
2024
Apr 2024-
Mar 2025
Jan-Dec
2024
Mkr Jan-mar
2025
Jan-mar
2024
Apr 2024-
mar 2025
Jan-dec
2024
Net sales Nettoomsättning 248 179 979 910
Administrative expenses Administrationskostnader -308 -229 -1,245 -1,166
Other operating income Övriga rörelseintäkter 0 1 -1 0
Operating profit Rörelseresultat -60 -49 -267 -256
Result from financial investments Resultat från finansiella poster
Profit from participation in Group companies Resultat från andelar i koncernföretag 822 822
Other financial items Övriga finansiella poster 38 43 176 181
Result after financial items Resultat efter finansiella poster -22 -6 731 747
Appropriations Bokslutsdispositioner 1,452 1,452
Pre-tax profit Resultat före skatt -22 -6 2,183 2,199
Tax Skatt 5 1 -247 -251
Profit for the period 1) Periodens resultat 1) -17 -5 1,936 1,948
1) Profit/loss for the period corresponds to comprehensive profit/loss for the period and therefore only one income statement is presented and no separate one for comprehensive profit/loss

Balance sheet for the parent company in summary

MSEK Mar 31
2025
Mar 31
2024
Dec 31
2024
Mkr 31 mar
2025
31 mar
2024
31 dec
2024
Assets Tillgångar
Fixed assets Anläggningstillgångar
Intangible assets Immateriella anläggningstillgångar 283 351 300
Tangible assets Materiella anläggningstillgångar 45 36 48
Financial assets Finansiella anläggningstillgångar
Participation in Group companies Andelar i koncernföretag 10,339 10,433 10,339
Receivables from Group companies Fordringar koncernföretag 32 23
Deferred tax recoverables Uppskjuten skattefordran 106 85 106
Total financial assets Summa finansiella anläggningstillgångar 10,477 10,518 10,468
Total fixed assets Summa anläggningstillgångar 10,805 10,905 10,816
Current assets Omsättningstillgångar
Current receivables Kortfristiga fordringar
Receivables from Group companies Fordringar koncernföretag 5,360 3,846 5,734
Other receivables Övriga fordringar 254 219 61
Total current receivables Summa kortfristiga fordringar 5,614 4,065 5,795
Cash and bank Kassa och bank 0 0 0
Total current assets Summa omsättningstillgångar 5,614 4,065 5,795
Total assets Summa tillgångar 16,419 14,970 16,611
Equity and liabilities Eget kapital och skulder
Equity Eget kapital
Restricted equity Bundet eget kapital 1,884 1,884 1,884
Non-restricted equity Fritt eget kapital 11,461 9,920 11,468
Total equity Summa eget kapital 13,345 11,804 13,352
   
Untaxed reserves Obeskattade reserver 2,798 2,919 2,798
Provisions Avsättningar
Other provisions Övriga avsättningar 45 44 44
Total provisions Summa avsättningar 45 44 44
Current liabilities Kortfristiga skulder
Liabilities to Group companies Skulder till koncernföretag 10 8 112
Current tax liabilities Aktuella skatteskulder 20 89
Other liabilities Övriga skulder 201 195 216
Total current liabilities Summa kortfristiga skulder 231 203 417
Total liabilities Summa skulder 276 203 417
Total equity and liabilities Summa eget kapital och skulder 16,419 14,970 16,611