I.A. Årsredovisning 2020 ENG 1
FINANCE - FIVE-YEAR SUMMARY kSEK Net sales Operat
ing profit Financial income and expense Profit before tax Tax Profit for the year Intangible fixed assets Tangible fixed assets Financial fixed assets Inventories Accounts receivables Other current assets Total assets Equity Non-curent liabilities Accounts payables Other liabilities Total equity and liabilities Cash Flow from Operating activities Cash flow from Investing activities Cash Flow from Financing activities Cash flow for the year Equity to assets ratio Return on equity Number of employees 2020 24 063 914 728 527 -217 082 511 445 -125 605 385 840 1 694 733 7 475 079 82 029 2 774 823 908 723 604 750 13 540 137 1 197 386 7 632 654 1 509 774 3 200 323 13 540 137 1 707 854 -680 018 -1 045 156 -17 320 11% 36% 2 651 2019 22 301 382 360 207 -212 253 147 954 -44 646 103 308 1 877 075 7 562 976 70 749 3 089 271 970 145 752 738 14 322 954 931 028 7 876 863 1 713 413 3 801 650 14 322 954 1 508 029 -1 474 956 22 641 55 714 9% 12% 2 733 2018 21 043 340 227 107 -114 143 112 964 -26 108 86 856 1 522 412 2 002 531 57 346 2 736 249 716 803 646 168 7 681 509 795 568 2 892 119 1 258 126 2 735 696 7 681 509 460 094 -1 238 694 825 011 46 411 15% 12% 2 450 2017 12 657 046 197 230 -53 449 143 781 -25 104 118 677 1 215 266 1 519 245 32 321 2 446 334 590 907 546 140 6 350 213 703 962 2 929 490 1 136 415 1 580 346 6 350 213 -11 958 -1 675 521 1 738 367 50 888 17% 18% 1 711 2016 9 744 132 176 843 -10 705 166 138 -30 638 135 500 55 194 620 576 99 986 919 980 272 259 326 514 2 294 509 615 077 479 115 250 622 949 695 2 294 509 370 487 -382 719 10 268 -1 964 27% 22% 1 434 IFRS16 is applied from the year 2019. Earlier years have not been adjusted. Årets kostnad för operationella leasingavtal uppgi 44 44 A. HEDIN BIL AB / ANNUAL REPORT / 2020