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SWDBY SWEDBANK AB ADR EACH REP 1 SER'A'SEK20(MGT)

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  • 19.109
  • -0.131-0.68%
15min DelayClose Apr 26 16:00 ET
21.50BMarket Cap6.70P/E (TTM)

SWEDBANK AB ADR EACH REP 1 SER'A'SEK20(MGT) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold
-4.02%346.84B
-24.56%299.2B
-24.56%299.2B
-43.27%288B
-25.39%358.42B
-23.27%361.34B
2.72%396.59B
2.72%396.59B
-27.82%507.67B
-23.98%480.4B
-Cash and cash equivalents
-4.02%346.84B
-30.87%252.99B
-30.87%252.99B
-36.65%288B
-15.56%358.42B
-15.86%361.34B
1.62%365.99B
1.62%365.99B
-30.26%454.58B
-29.13%424.46B
-Money market investments
----
50.99%46.21B
50.99%46.21B
----
----
----
17.95%30.6B
17.95%30.6B
3.17%53.09B
69.53%55.94B
Receivables
----
3.61%459M
3.61%459M
----
----
----
-10.51%443M
-10.51%443M
----
----
Prepaid assets
----
33.67%2.12B
33.67%2.12B
-0.13%2.29B
5.95%2.6B
13.98%2.73B
7.53%1.59B
7.53%1.59B
11.07%2.3B
-25.72%2.45B
Net loan
2.10%1.93T
-0.47%1.79T
-0.47%1.79T
3.43%1.92T
3.87%1.92T
6.86%1.9T
7.46%1.8T
7.46%1.8T
9.79%1.86T
10.16%1.84T
-Allowance for loans and lease losses
7.90%7.32B
17.80%7.13B
17.80%7.13B
29.93%7.18B
43.90%7.08B
40.34%6.78B
20.45%6.05B
20.45%6.05B
-6.74%5.52B
-14.89%4.92B
-Trading securities
17.83%95.11B
23.27%64.16B
23.27%64.16B
10.18%83.56B
-15.60%56.47B
0.61%80.72B
-22.28%52.05B
-22.28%52.05B
--75.84B
--66.9B
-Available for sale securities
-27.47%189.97B
20.41%164.95B
20.41%164.95B
157.32%284.91B
141.83%249.92B
118.22%261.93B
3.16%137B
3.16%137B
--110.72B
--103.34B
Long term equity investment
----
5.68%8.28B
5.68%8.28B
10.64%8.42B
13.66%8.19B
0.34%7.92B
1.62%7.83B
1.62%7.83B
1.06%7.61B
-1.36%7.2B
Derivative assets
71.93%34.32B
3.12%31.07B
3.12%31.07B
-51.51%31.66B
-29.03%36.16B
-29.24%19.96B
-22.29%30.14B
-22.29%30.14B
71.85%65.29B
38.40%50.95B
Net PPE
----
1.74%5.54B
1.74%5.54B
5.36%5.45B
8.57%5.68B
3.19%5.53B
-1.34%5.45B
-1.34%5.45B
-0.75%5.17B
-2.72%5.23B
-Gross PPE
----
7.82%12.15B
7.82%12.15B
----
----
----
8.12%11.27B
8.12%11.27B
----
----
-Accumulated depreciation
----
-13.50%-6.61B
-13.50%-6.61B
----
----
----
-18.77%-5.82B
-18.77%-5.82B
----
----
Goodwill and other intangible assets
3.26%20.96B
2.79%20.44B
2.79%20.44B
4.27%20.9B
3.91%20.99B
2.76%20.3B
2.04%19.89B
2.04%19.89B
5.14%20.05B
7.25%20.2B
-Goodwill
1.86%14.29B
0.09%13.79B
0.09%13.79B
2.43%14.29B
3.93%14.54B
2.96%14.02B
2.02%13.77B
2.02%13.77B
3.83%13.95B
4.52%13.99B
-Other intangible assets
6.37%6.68B
8.87%6.65B
8.87%6.65B
8.50%6.61B
3.86%6.45B
2.31%6.28B
2.09%6.11B
2.09%6.11B
8.26%6.1B
13.96%6.21B
Defined pension benefit
----
-13.62%2.1B
-13.62%2.1B
31.89%4B
388.41%4.3B
--2.84B
--2.43B
--2.43B
--3.03B
--880M
Other assets
55.77%43.84B
-27.25%2.79B
-27.25%2.79B
-46.22%14.25B
55.97%21.31B
-13.25%28.14B
-22.18%3.83B
-22.18%3.83B
-5.69%26.49B
-39.37%13.66B
Total assets
1.42%3.08T
0.03%2.86T
0.03%2.86T
0.81%3.02T
4.75%3.05T
5.23%3.04T
3.78%2.85T
3.78%2.85T
-1.19%2.99T
-0.93%2.91T
Liabilities
Total deposits
-3.33%1.35T
-5.38%1.29T
-5.38%1.29T
-2.29%1.36T
0.07%1.4T
2.74%1.39T
2.71%1.36T
2.71%1.36T
-0.17%1.4T
2.26%1.4T
Payables
----
113.80%3.87B
113.80%3.87B
311.68%3.52B
363.46%3.03B
279.93%3.45B
169.49%1.81B
169.49%1.81B
12.63%856M
-6.44%654M
-Total tax payable
----
113.80%3.87B
113.80%3.87B
311.68%3.52B
363.46%3.03B
279.93%3.45B
169.49%1.81B
169.49%1.81B
12.63%856M
-6.44%654M
Trading liabilities
25.44%30.09B
-36.25%17.3B
-36.25%17.3B
-37.46%19.78B
-28.84%26.39B
-2.95%23.99B
-5.17%27.13B
-5.17%27.13B
5.44%31.62B
158.83%37.09B
Long term debt and capital lease obligation
1.98%987.73B
-0.91%873.36B
-0.91%873.36B
7.68%988.04B
10.50%965.22B
12.30%968.58B
9.08%881.36B
9.08%881.36B
-6.71%917.56B
-7.05%873.47B
Derivative product liabilities
-18.28%39.11B
7.26%73.66B
7.26%73.66B
-24.10%53.64B
-16.51%49.1B
19.32%47.86B
144.36%68.68B
144.36%68.68B
183.76%70.67B
118.73%58.81B
Other liabilities
7.60%85.4B
81.86%9.85B
81.86%9.85B
-37.89%47.55B
12.42%51.86B
-1.09%79.37B
-47.77%5.41B
-47.77%5.41B
25.69%76.57B
-36.22%46.13B
Total liabilities
0.85%2.89T
-0.82%2.66T
-0.82%2.66T
0.02%2.83T
4.19%2.87T
4.84%2.86T
3.46%2.68T
3.46%2.68T
-1.42%2.82T
-1.06%2.75T
Shareholders'equity
Share capital
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
-common stock
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
0.00%24.9B
Paid-in capital
0.00%17.28B
0.00%13.21B
0.00%13.21B
0.00%17.28B
0.00%17.28B
0.00%17.28B
0.00%13.21B
0.00%13.21B
0.00%17.28B
0.00%17.28B
Retained earnings
14.41%145.43B
23.02%114.25B
23.02%114.25B
18.11%146.23B
18.01%137.42B
15.41%127.12B
13.76%92.87B
13.76%92.87B
2.70%123.81B
0.88%116.45B
Other equity interest
----
0.00%1M
0.00%1M
----
----
----
--1M
--1M
----
----
Total stockholders'equity
10.83%192.11B
12.90%198.76B
12.90%198.76B
14.02%192.94B
14.28%184.63B
12.14%173.33B
8.90%176.05B
8.90%176.05B
2.79%169.21B
1.37%161.55B
Non controlling interests
7.14%30M
3.45%30M
3.45%30M
3.33%31M
7.69%28M
7.69%28M
11.54%29M
11.54%29M
15.38%30M
4.00%26M
Total equity
10.83%192.14B
12.90%198.79B
12.90%198.79B
14.02%192.97B
14.28%184.66B
12.14%173.36B
8.90%176.08B
8.90%176.08B
2.80%169.24B
1.37%161.58B
Currency Unit
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold -4.02%346.84B-24.56%299.2B-24.56%299.2B-43.27%288B-25.39%358.42B-23.27%361.34B2.72%396.59B2.72%396.59B-27.82%507.67B-23.98%480.4B
-Cash and cash equivalents -4.02%346.84B-30.87%252.99B-30.87%252.99B-36.65%288B-15.56%358.42B-15.86%361.34B1.62%365.99B1.62%365.99B-30.26%454.58B-29.13%424.46B
-Money market investments ----50.99%46.21B50.99%46.21B------------17.95%30.6B17.95%30.6B3.17%53.09B69.53%55.94B
Receivables ----3.61%459M3.61%459M-------------10.51%443M-10.51%443M--------
Prepaid assets ----33.67%2.12B33.67%2.12B-0.13%2.29B5.95%2.6B13.98%2.73B7.53%1.59B7.53%1.59B11.07%2.3B-25.72%2.45B
Net loan 2.10%1.93T-0.47%1.79T-0.47%1.79T3.43%1.92T3.87%1.92T6.86%1.9T7.46%1.8T7.46%1.8T9.79%1.86T10.16%1.84T
-Allowance for loans and lease losses 7.90%7.32B17.80%7.13B17.80%7.13B29.93%7.18B43.90%7.08B40.34%6.78B20.45%6.05B20.45%6.05B-6.74%5.52B-14.89%4.92B
-Trading securities 17.83%95.11B23.27%64.16B23.27%64.16B10.18%83.56B-15.60%56.47B0.61%80.72B-22.28%52.05B-22.28%52.05B--75.84B--66.9B
-Available for sale securities -27.47%189.97B20.41%164.95B20.41%164.95B157.32%284.91B141.83%249.92B118.22%261.93B3.16%137B3.16%137B--110.72B--103.34B
Long term equity investment ----5.68%8.28B5.68%8.28B10.64%8.42B13.66%8.19B0.34%7.92B1.62%7.83B1.62%7.83B1.06%7.61B-1.36%7.2B
Derivative assets 71.93%34.32B3.12%31.07B3.12%31.07B-51.51%31.66B-29.03%36.16B-29.24%19.96B-22.29%30.14B-22.29%30.14B71.85%65.29B38.40%50.95B
Net PPE ----1.74%5.54B1.74%5.54B5.36%5.45B8.57%5.68B3.19%5.53B-1.34%5.45B-1.34%5.45B-0.75%5.17B-2.72%5.23B
-Gross PPE ----7.82%12.15B7.82%12.15B------------8.12%11.27B8.12%11.27B--------
-Accumulated depreciation -----13.50%-6.61B-13.50%-6.61B-------------18.77%-5.82B-18.77%-5.82B--------
Goodwill and other intangible assets 3.26%20.96B2.79%20.44B2.79%20.44B4.27%20.9B3.91%20.99B2.76%20.3B2.04%19.89B2.04%19.89B5.14%20.05B7.25%20.2B
-Goodwill 1.86%14.29B0.09%13.79B0.09%13.79B2.43%14.29B3.93%14.54B2.96%14.02B2.02%13.77B2.02%13.77B3.83%13.95B4.52%13.99B
-Other intangible assets 6.37%6.68B8.87%6.65B8.87%6.65B8.50%6.61B3.86%6.45B2.31%6.28B2.09%6.11B2.09%6.11B8.26%6.1B13.96%6.21B
Defined pension benefit -----13.62%2.1B-13.62%2.1B31.89%4B388.41%4.3B--2.84B--2.43B--2.43B--3.03B--880M
Other assets 55.77%43.84B-27.25%2.79B-27.25%2.79B-46.22%14.25B55.97%21.31B-13.25%28.14B-22.18%3.83B-22.18%3.83B-5.69%26.49B-39.37%13.66B
Total assets 1.42%3.08T0.03%2.86T0.03%2.86T0.81%3.02T4.75%3.05T5.23%3.04T3.78%2.85T3.78%2.85T-1.19%2.99T-0.93%2.91T
Liabilities
Total deposits -3.33%1.35T-5.38%1.29T-5.38%1.29T-2.29%1.36T0.07%1.4T2.74%1.39T2.71%1.36T2.71%1.36T-0.17%1.4T2.26%1.4T
Payables ----113.80%3.87B113.80%3.87B311.68%3.52B363.46%3.03B279.93%3.45B169.49%1.81B169.49%1.81B12.63%856M-6.44%654M
-Total tax payable ----113.80%3.87B113.80%3.87B311.68%3.52B363.46%3.03B279.93%3.45B169.49%1.81B169.49%1.81B12.63%856M-6.44%654M
Trading liabilities 25.44%30.09B-36.25%17.3B-36.25%17.3B-37.46%19.78B-28.84%26.39B-2.95%23.99B-5.17%27.13B-5.17%27.13B5.44%31.62B158.83%37.09B
Long term debt and capital lease obligation 1.98%987.73B-0.91%873.36B-0.91%873.36B7.68%988.04B10.50%965.22B12.30%968.58B9.08%881.36B9.08%881.36B-6.71%917.56B-7.05%873.47B
Derivative product liabilities -18.28%39.11B7.26%73.66B7.26%73.66B-24.10%53.64B-16.51%49.1B19.32%47.86B144.36%68.68B144.36%68.68B183.76%70.67B118.73%58.81B
Other liabilities 7.60%85.4B81.86%9.85B81.86%9.85B-37.89%47.55B12.42%51.86B-1.09%79.37B-47.77%5.41B-47.77%5.41B25.69%76.57B-36.22%46.13B
Total liabilities 0.85%2.89T-0.82%2.66T-0.82%2.66T0.02%2.83T4.19%2.87T4.84%2.86T3.46%2.68T3.46%2.68T-1.42%2.82T-1.06%2.75T
Shareholders'equity
Share capital 0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B
-common stock 0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B0.00%24.9B
Paid-in capital 0.00%17.28B0.00%13.21B0.00%13.21B0.00%17.28B0.00%17.28B0.00%17.28B0.00%13.21B0.00%13.21B0.00%17.28B0.00%17.28B
Retained earnings 14.41%145.43B23.02%114.25B23.02%114.25B18.11%146.23B18.01%137.42B15.41%127.12B13.76%92.87B13.76%92.87B2.70%123.81B0.88%116.45B
Other equity interest ----0.00%1M0.00%1M--------------1M--1M--------
Total stockholders'equity 10.83%192.11B12.90%198.76B12.90%198.76B14.02%192.94B14.28%184.63B12.14%173.33B8.90%176.05B8.90%176.05B2.79%169.21B1.37%161.55B
Non controlling interests 7.14%30M3.45%30M3.45%30M3.33%31M7.69%28M7.69%28M11.54%29M11.54%29M15.38%30M4.00%26M
Total equity 10.83%192.14B12.90%198.79B12.90%198.79B14.02%192.97B14.28%184.66B12.14%173.36B8.90%176.08B8.90%176.08B2.80%169.24B1.37%161.58B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK

Analysis

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