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SVNLY Svenska Handelsbanken AB Unsponsored ADR Class A

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  • 6.000
  • +0.090+1.52%
Close 03/01 16:00 ET
23.76BMarket Cap8.23P/E (TTM)

Svenska Handelsbanken AB Unsponsored ADR Class A Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
Assets
Cash cash equivalents and federal funds sold
13.17%708.61B
13.17%708.61B
2.67%758.09B
11.90%810.63B
11.48%713.13B
49.45%626.17B
49.45%626.17B
-0.53%738.36B
-1.41%724.4B
-20.25%639.67B
-Cash and cash equivalents
0.41%482.45B
0.41%482.45B
-14.56%488.68B
-12.35%508.84B
-6.01%458.23B
64.07%480.47B
64.07%480.47B
-7.11%571.98B
-5.82%580.54B
-28.92%487.54B
-Money market investments
109.24%27.03B
109.24%27.03B
3.52%37.57B
23.82%36.56B
-29.85%21.14B
-49.89%12.92B
-49.89%12.92B
17.65%36.29B
1.12%29.52B
-8.12%30.14B
-Restricted cash and investments
49.97%199.13B
49.97%199.13B
78.20%231.84B
131.98%265.24B
91.61%233.75B
32.28%132.78B
32.28%132.78B
35.95%130.1B
28.19%114.34B
46.20%122B
Receivables
2.61%1.22B
2.61%1.22B
6.76%2.53B
5.59%2.85B
3.10%3.3B
-24.10%1.19B
-24.10%1.19B
-16.42%2.37B
-13.65%2.7B
3.80%3.2B
Prepaid assets
40.66%1.11B
40.66%1.11B
----
----
----
7.61%792M
7.61%792M
----
----
----
Net loan
-1.22%2.28T
-1.22%2.28T
2.26%2.32T
4.01%2.34T
4.30%2.31T
7.10%2.31T
7.10%2.31T
-3.88%2.27T
-4.19%2.25T
-5.04%2.21T
-Allowance for loans and lease losses
-0.74%2B
-0.74%2B
-6.13%2.48B
-4.85%2.57B
-6.81%2.5B
-17.47%2.02B
-17.47%2.02B
-19.48%2.64B
-17.22%2.7B
-23.08%2.69B
-Available for sale securities
10.48%601M
10.48%601M
----
----
----
19.82%544M
19.82%544M
----
----
----
Long term equity investment
17.11%657M
17.11%657M
16.09%642M
13.91%606M
19.15%591M
17.36%561M
17.36%561M
19.96%553M
22.58%532M
17.54%496M
Derivative assets
4.11%20.45B
4.11%20.45B
-49.59%30.78B
1.91%40.68B
53.65%24.46B
-26.17%19.65B
-26.17%19.65B
129.94%61.05B
58.62%39.92B
-47.50%15.92B
Net PPE
-2.83%4.78B
-2.83%4.78B
2.98%4.76B
0.42%4.79B
-4.59%4.79B
-6.79%4.91B
-6.79%4.91B
-22.09%4.62B
-20.82%4.77B
-19.20%5.02B
-Gross PPE
-1.32%6.68B
-1.32%6.68B
----
----
----
-4.41%6.77B
-4.41%6.77B
----
----
----
-Accumulated depreciation
-2.70%-1.9B
-2.70%-1.9B
----
----
----
-2.55%-1.85B
-2.55%-1.85B
----
----
----
Assets held for sale
-6.94%178.59B
-6.94%178.59B
-46.18%190.76B
-43.15%201.48B
-43.71%193.18B
-54.46%191.92B
-54.46%191.92B
59,872.08%354.44B
28,738.57%354.43B
20,101.12%343.22B
Goodwill and other intangible assets
1.96%8.57B
1.96%8.57B
3.41%8.53B
2.84%8.55B
1.36%8.43B
1.20%8.4B
1.20%8.4B
-26.51%8.25B
-26.14%8.32B
-27.64%8.31B
-Goodwill
-0.93%4.36B
-0.93%4.36B
0.55%4.39B
0.32%4.39B
-0.66%4.36B
0.92%4.4B
0.92%4.4B
-36.72%4.37B
-36.37%4.38B
-36.76%4.39B
-Other intangible assets
5.14%4.21B
5.14%4.21B
6.62%4.14B
5.63%4.16B
3.62%4.07B
1.52%4.01B
1.52%4.01B
-10.22%3.88B
-10.08%3.94B
-13.77%3.93B
Defined pension benefit
-9.13%11.7B
-9.13%11.7B
17.72%16.08B
7.07%14.47B
21.37%13.01B
46.87%12.88B
46.87%12.88B
98.13%13.66B
50.62%13.51B
41.23%10.72B
Other assets
-30.27%10.25B
-30.27%10.25B
316.42%23.92B
-50.81%12.42B
132.14%40.96B
155.02%14.7B
155.02%14.7B
-68.25%5.74B
121.50%25.25B
27.52%17.65B
Total assets
2.43%3.54T
2.43%3.54T
-1.32%3.68T
1.80%3.76T
1.58%3.6T
3.20%3.45T
3.20%3.45T
7.56%3.73T
7.35%3.69T
1.55%3.55T
Liabilities
Total deposits
-12.21%1.11T
-12.21%1.11T
-4.42%1.5T
1.02%1.57T
3.66%1.53T
-4.55%1.26T
-4.55%1.26T
1.28%1.57T
1.11%1.56T
-8.84%1.48T
Payables
458.06%1.21B
458.06%1.21B
15.48%1.87B
29.33%1.31B
64.34%894M
100.93%217M
100.93%217M
75.24%1.62B
113.00%1.02B
143.95%544M
-Total tax payable
458.06%1.21B
458.06%1.21B
15.48%1.87B
29.33%1.31B
64.34%894M
100.93%217M
100.93%217M
75.24%1.62B
113.00%1.02B
143.95%544M
Long term debt and capital lease obligation
11.51%1.85T
11.51%1.85T
3.50%1.6T
5.01%1.6T
4.45%1.51T
15.43%1.66T
15.43%1.66T
9.09%1.55T
7.78%1.52T
3.09%1.45T
Derivative product liabilities
17.90%34.24B
17.90%34.24B
-23.77%20.53B
2.41%22.31B
21.80%24.14B
110.68%29.04B
110.68%29.04B
112.13%26.93B
52.83%21.78B
12.40%19.82B
Other liabilities
62.40%11.9B
62.40%11.9B
-22.05%18.9B
-34.09%19.27B
-25.13%25.44B
-6.12%7.33B
-6.12%7.33B
-38.62%24.25B
-7.52%29.24B
1.63%33.98B
Total liabilities
2.24%3.33T
2.24%3.33T
-1.73%3.48T
1.59%3.56T
1.48%3.42T
2.99%3.26T
2.99%3.26T
7.68%3.54T
7.54%3.5T
1.52%3.37T
Shareholders'equity
Share capital
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
-common stock
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
Paid-in capital
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
Retained earnings
8.26%177.01B
8.26%177.01B
5.90%169.8B
4.58%161.54B
3.11%154.44B
6.15%163.51B
6.15%163.51B
1.93%160.35B
1.51%154.46B
1.63%149.78B
Total stockholders'equity
5.70%205.08B
5.70%205.08B
6.12%203.74B
5.72%196.29B
3.50%184.87B
6.78%194.02B
6.78%194.02B
5.33%191.99B
3.95%185.67B
2.22%178.63B
Non controlling interests
166.67%8M
166.67%8M
-76.92%3M
-83.33%2M
-85.19%4M
-88.00%3M
-88.00%3M
8.33%13M
9.09%12M
145.45%27M
Total equity
5.70%205.09B
5.70%205.09B
6.12%203.75B
5.71%196.29B
3.48%184.88B
6.76%194.02B
6.76%194.02B
5.33%192B
3.95%185.68B
2.23%178.66B
Currency Unit
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
Assets
Cash cash equivalents and federal funds sold 13.17%708.61B13.17%708.61B2.67%758.09B11.90%810.63B11.48%713.13B49.45%626.17B49.45%626.17B-0.53%738.36B-1.41%724.4B-20.25%639.67B
-Cash and cash equivalents 0.41%482.45B0.41%482.45B-14.56%488.68B-12.35%508.84B-6.01%458.23B64.07%480.47B64.07%480.47B-7.11%571.98B-5.82%580.54B-28.92%487.54B
-Money market investments 109.24%27.03B109.24%27.03B3.52%37.57B23.82%36.56B-29.85%21.14B-49.89%12.92B-49.89%12.92B17.65%36.29B1.12%29.52B-8.12%30.14B
-Restricted cash and investments 49.97%199.13B49.97%199.13B78.20%231.84B131.98%265.24B91.61%233.75B32.28%132.78B32.28%132.78B35.95%130.1B28.19%114.34B46.20%122B
Receivables 2.61%1.22B2.61%1.22B6.76%2.53B5.59%2.85B3.10%3.3B-24.10%1.19B-24.10%1.19B-16.42%2.37B-13.65%2.7B3.80%3.2B
Prepaid assets 40.66%1.11B40.66%1.11B------------7.61%792M7.61%792M------------
Net loan -1.22%2.28T-1.22%2.28T2.26%2.32T4.01%2.34T4.30%2.31T7.10%2.31T7.10%2.31T-3.88%2.27T-4.19%2.25T-5.04%2.21T
-Allowance for loans and lease losses -0.74%2B-0.74%2B-6.13%2.48B-4.85%2.57B-6.81%2.5B-17.47%2.02B-17.47%2.02B-19.48%2.64B-17.22%2.7B-23.08%2.69B
-Available for sale securities 10.48%601M10.48%601M------------19.82%544M19.82%544M------------
Long term equity investment 17.11%657M17.11%657M16.09%642M13.91%606M19.15%591M17.36%561M17.36%561M19.96%553M22.58%532M17.54%496M
Derivative assets 4.11%20.45B4.11%20.45B-49.59%30.78B1.91%40.68B53.65%24.46B-26.17%19.65B-26.17%19.65B129.94%61.05B58.62%39.92B-47.50%15.92B
Net PPE -2.83%4.78B-2.83%4.78B2.98%4.76B0.42%4.79B-4.59%4.79B-6.79%4.91B-6.79%4.91B-22.09%4.62B-20.82%4.77B-19.20%5.02B
-Gross PPE -1.32%6.68B-1.32%6.68B-------------4.41%6.77B-4.41%6.77B------------
-Accumulated depreciation -2.70%-1.9B-2.70%-1.9B-------------2.55%-1.85B-2.55%-1.85B------------
Assets held for sale -6.94%178.59B-6.94%178.59B-46.18%190.76B-43.15%201.48B-43.71%193.18B-54.46%191.92B-54.46%191.92B59,872.08%354.44B28,738.57%354.43B20,101.12%343.22B
Goodwill and other intangible assets 1.96%8.57B1.96%8.57B3.41%8.53B2.84%8.55B1.36%8.43B1.20%8.4B1.20%8.4B-26.51%8.25B-26.14%8.32B-27.64%8.31B
-Goodwill -0.93%4.36B-0.93%4.36B0.55%4.39B0.32%4.39B-0.66%4.36B0.92%4.4B0.92%4.4B-36.72%4.37B-36.37%4.38B-36.76%4.39B
-Other intangible assets 5.14%4.21B5.14%4.21B6.62%4.14B5.63%4.16B3.62%4.07B1.52%4.01B1.52%4.01B-10.22%3.88B-10.08%3.94B-13.77%3.93B
Defined pension benefit -9.13%11.7B-9.13%11.7B17.72%16.08B7.07%14.47B21.37%13.01B46.87%12.88B46.87%12.88B98.13%13.66B50.62%13.51B41.23%10.72B
Other assets -30.27%10.25B-30.27%10.25B316.42%23.92B-50.81%12.42B132.14%40.96B155.02%14.7B155.02%14.7B-68.25%5.74B121.50%25.25B27.52%17.65B
Total assets 2.43%3.54T2.43%3.54T-1.32%3.68T1.80%3.76T1.58%3.6T3.20%3.45T3.20%3.45T7.56%3.73T7.35%3.69T1.55%3.55T
Liabilities
Total deposits -12.21%1.11T-12.21%1.11T-4.42%1.5T1.02%1.57T3.66%1.53T-4.55%1.26T-4.55%1.26T1.28%1.57T1.11%1.56T-8.84%1.48T
Payables 458.06%1.21B458.06%1.21B15.48%1.87B29.33%1.31B64.34%894M100.93%217M100.93%217M75.24%1.62B113.00%1.02B143.95%544M
-Total tax payable 458.06%1.21B458.06%1.21B15.48%1.87B29.33%1.31B64.34%894M100.93%217M100.93%217M75.24%1.62B113.00%1.02B143.95%544M
Long term debt and capital lease obligation 11.51%1.85T11.51%1.85T3.50%1.6T5.01%1.6T4.45%1.51T15.43%1.66T15.43%1.66T9.09%1.55T7.78%1.52T3.09%1.45T
Derivative product liabilities 17.90%34.24B17.90%34.24B-23.77%20.53B2.41%22.31B21.80%24.14B110.68%29.04B110.68%29.04B112.13%26.93B52.83%21.78B12.40%19.82B
Other liabilities 62.40%11.9B62.40%11.9B-22.05%18.9B-34.09%19.27B-25.13%25.44B-6.12%7.33B-6.12%7.33B-38.62%24.25B-7.52%29.24B1.63%33.98B
Total liabilities 2.24%3.33T2.24%3.33T-1.73%3.48T1.59%3.56T1.48%3.42T2.99%3.26T2.99%3.26T7.68%3.54T7.54%3.5T1.52%3.37T
Shareholders'equity
Share capital 0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B
-common stock 0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B
Paid-in capital 0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B
Retained earnings 8.26%177.01B8.26%177.01B5.90%169.8B4.58%161.54B3.11%154.44B6.15%163.51B6.15%163.51B1.93%160.35B1.51%154.46B1.63%149.78B
Total stockholders'equity 5.70%205.08B5.70%205.08B6.12%203.74B5.72%196.29B3.50%184.87B6.78%194.02B6.78%194.02B5.33%191.99B3.95%185.67B2.22%178.63B
Non controlling interests 166.67%8M166.67%8M-76.92%3M-83.33%2M-85.19%4M-88.00%3M-88.00%3M8.33%13M9.09%12M145.45%27M
Total equity 5.70%205.09B5.70%205.09B6.12%203.75B5.71%196.29B3.48%184.88B6.76%194.02B6.76%194.02B5.33%192B3.95%185.68B2.23%178.66B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK

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