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Financial and alternative performance measures by year All amounts are in SEKm unless stated otherwise. Group
2020
2019
2018
2017
2016
365
268
193
126
87
36
39
53
45
75
Gross profit
265
198
142
93
62
Gross margin, %
71.3
NET SALES AND PROFIT/LOSS Net sales Net sales growth, %
72.8
74.1
73.9
74.3
Operating profit/loss
167
108
73
21
18
Operating margin, %
45.8
40.3
37.9
16.6
21.2
Adjusted operating profit (Adjusted EBIT) Adjusted operating margin (Adjusted EBIT), % Amortization EBITDA EBIT margin, % Profit for the year
168
111
73
28
24
46.2
41.2
37.9
22.1
28
9
7
2
1
1
176
115
75
22
19
48.2
42.8
38.8
17.4
22.2
129
85
56
16
14
GROUP STATEMENT OF CASH FLOWS Cash flow from operating activities
116
63
69
11
16
Cash flow from investing activities
–15
–49
–7
–5
–4
Cash flow from financing activities
–15
–65
–
145
0
75
FINANCIAL STANDINGS Total assets Equity Equity ratio, %
517
343
319
242
426
298
276
221
57
82
87
86
91
76
KEY FIGURES PER SHARE Earnings per share basic, SEK
4.96
3.35
2.23
0.64
0.67
Earnings per share diluted, SEK
4.93
3.28
2.21
0.64
0.65
Average number of shares outstanding – before dilution
25,996,417
25,229,870
25,229,870
24,520,884
21,478,586
Average number of shares – after dilution
26,167,786
25,837,404
25,544,935
24,559,246
22,013,833
55
43
35
29
17
EMPLOYEES Average number of employees
108
MIPS — ANNUAL REPORT 2020