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

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  • 21.420
  • -0.120-0.56%
Close 02/23 16:00 ET
24.10BMarket Cap7.13P/E (TTM)

SWEDBANK AB ADR EACH REP 1 SER'A'SEK20(MGT) 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
62.99%43.62B
29.70%11.08B
63.20%11.45B
103.31%11.41B
73.12%9.68B
3.66%26.76B
43.00%8.54B
3.01%7.01B
-18.07%5.61B
-9.54%5.59B
Other non cashItems
46.69%-322M
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----
----
----
68.18%-604M
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----
----
----
Change in working capital
-309.97%-181.38B
63.41%-37.99B
-1,592.96%-86.79B
-734.09%-24.51B
-156.58%-32.08B
-243.02%-44.24B
64.11%-103.82B
-86.50%5.81B
-103.60%-2.94B
-70.99%56.71B
-Change in loans
12.26%-103.01B
-1,218.59%-125.83B
150.53%1.85B
31.70%-60.69B
632.91%81.66B
-613.25%-117.4B
94.59%-9.54B
-11.59%-3.67B
-237.91%-88.87B
-115.49%-15.32B
-Change in other current assets
105.08%335M
-84.19%8.49B
136.40%12.26B
128.37%2.68B
-34.66%-23.08B
-133.61%-6.59B
217.33%53.65B
-337.24%-33.68B
-144.48%-9.43B
-58.91%-17.14B
-Change in other current liabilities
-72.10%21.27B
84.82%-5.48B
-106.70%-2.45B
-55.11%24.94B
-78.88%4.26B
1,466.18%76.23B
-276.45%-36.11B
45.62%36.6B
252.93%55.56B
32.77%20.19B
Cash from discontinued operating activities
Operating cash flow
-679.53%-145.15B
68.25%-29.3B
-787.52%-77.09B
-9,231.07%-18.81B
-132.04%-19.94B
-137.69%-18.62B
67.59%-92.29B
-77.20%11.21B
-99.76%206M
-68.71%62.25B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-245.88%-671M
-213.95%-135M
-166.67%-200M
-22.86%-43M
-614.63%-293M
-310.87%-194M
-123.89%-43M
-2,600.00%-75M
48.53%-35M
-78.26%-41M
Net business purchase and sale
60.74%-53M
--0
--0
96.39%-3M
-127.27%-50M
-164.71%-135M
-112.50%-17M
-18.18%-13M
-1,085.71%-83M
12.00%-22M
Cash from discontinued investing activities
Investing cash flow
-160.49%-418M
196.67%58M
-127.27%-200M
-100.25%-2M
-1,196.00%-274M
10.03%691M
-134.88%-60M
-1,000.00%-88M
89.30%814M
-26.47%25M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
87.38%43.94B
139.77%719M
-49.89%9.38B
1,369.64%20.28B
162.58%13.56B
-24.87%23.45B
-460.16%-1.81B
185.51%18.71B
-90.45%1.38B
-46.82%5.17B
Cash dividends paid
13.20%-10.96B
--0
--0
----
----
22.55%-12.63B
--0
--0
----
----
Cash from discontinued financing activities
Financing cash flow
221.27%32.18B
125.78%523M
-50.42%9.18B
179.69%9.12B
168.67%13.36B
-29.23%10.02B
74.28%-2.03B
492.29%18.51B
-180.18%-11.44B
6.97%4.97B
Net cash flow
Beginning cash position
1.62%365.99B
-36.65%288B
-15.56%358.42B
-15.86%361.34B
1.62%365.99B
22.58%360.15B
-30.26%454.58B
-29.13%424.46B
-14.08%429.48B
22.58%360.15B
Current changes in cash
-1,332.79%-113.39B
69.57%-28.72B
-329.86%-68.12B
6.92%-9.7B
-110.20%-6.86B
-112.33%-7.91B
67.74%-94.38B
-43.33%29.63B
-110.34%-10.42B
-66.98%67.25B
Effect of exchange rate changes
-97.14%393M
-208.57%-6.28B
-569.45%-2.31B
25.34%6.77B
6.41%2.21B
538.49%13.75B
626.76%5.79B
-24.81%491M
419.08%5.4B
-13.47%2.08B
End cash position
-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
-14.08%429.48B
Free cash flow
-669.11%-146B
68.08%-29.5B
-796.20%-77.31B
-14,636.92%-18.9B
-132.63%-20.3B
-138.62%-18.98B
67.56%-92.41B
-77.39%11.1B
-99.85%130M
-68.73%62.19B
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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 62.99%43.62B29.70%11.08B63.20%11.45B103.31%11.41B73.12%9.68B3.66%26.76B43.00%8.54B3.01%7.01B-18.07%5.61B-9.54%5.59B
Other non cashItems 46.69%-322M----------------68.18%-604M----------------
Change in working capital -309.97%-181.38B63.41%-37.99B-1,592.96%-86.79B-734.09%-24.51B-156.58%-32.08B-243.02%-44.24B64.11%-103.82B-86.50%5.81B-103.60%-2.94B-70.99%56.71B
-Change in loans 12.26%-103.01B-1,218.59%-125.83B150.53%1.85B31.70%-60.69B632.91%81.66B-613.25%-117.4B94.59%-9.54B-11.59%-3.67B-237.91%-88.87B-115.49%-15.32B
-Change in other current assets 105.08%335M-84.19%8.49B136.40%12.26B128.37%2.68B-34.66%-23.08B-133.61%-6.59B217.33%53.65B-337.24%-33.68B-144.48%-9.43B-58.91%-17.14B
-Change in other current liabilities -72.10%21.27B84.82%-5.48B-106.70%-2.45B-55.11%24.94B-78.88%4.26B1,466.18%76.23B-276.45%-36.11B45.62%36.6B252.93%55.56B32.77%20.19B
Cash from discontinued operating activities
Operating cash flow -679.53%-145.15B68.25%-29.3B-787.52%-77.09B-9,231.07%-18.81B-132.04%-19.94B-137.69%-18.62B67.59%-92.29B-77.20%11.21B-99.76%206M-68.71%62.25B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -245.88%-671M-213.95%-135M-166.67%-200M-22.86%-43M-614.63%-293M-310.87%-194M-123.89%-43M-2,600.00%-75M48.53%-35M-78.26%-41M
Net business purchase and sale 60.74%-53M--0--096.39%-3M-127.27%-50M-164.71%-135M-112.50%-17M-18.18%-13M-1,085.71%-83M12.00%-22M
Cash from discontinued investing activities
Investing cash flow -160.49%-418M196.67%58M-127.27%-200M-100.25%-2M-1,196.00%-274M10.03%691M-134.88%-60M-1,000.00%-88M89.30%814M-26.47%25M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 87.38%43.94B139.77%719M-49.89%9.38B1,369.64%20.28B162.58%13.56B-24.87%23.45B-460.16%-1.81B185.51%18.71B-90.45%1.38B-46.82%5.17B
Cash dividends paid 13.20%-10.96B--0--0--------22.55%-12.63B--0--0--------
Cash from discontinued financing activities
Financing cash flow 221.27%32.18B125.78%523M-50.42%9.18B179.69%9.12B168.67%13.36B-29.23%10.02B74.28%-2.03B492.29%18.51B-180.18%-11.44B6.97%4.97B
Net cash flow
Beginning cash position 1.62%365.99B-36.65%288B-15.56%358.42B-15.86%361.34B1.62%365.99B22.58%360.15B-30.26%454.58B-29.13%424.46B-14.08%429.48B22.58%360.15B
Current changes in cash -1,332.79%-113.39B69.57%-28.72B-329.86%-68.12B6.92%-9.7B-110.20%-6.86B-112.33%-7.91B67.74%-94.38B-43.33%29.63B-110.34%-10.42B-66.98%67.25B
Effect of exchange rate changes -97.14%393M-208.57%-6.28B-569.45%-2.31B25.34%6.77B6.41%2.21B538.49%13.75B626.76%5.79B-24.81%491M419.08%5.4B-13.47%2.08B
End cash position -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-14.08%429.48B
Free cash flow -669.11%-146B68.08%-29.5B-796.20%-77.31B-14,636.92%-18.9B-132.63%-20.3B-138.62%-18.98B67.56%-92.41B-77.39%11.1B-99.85%130M-68.73%62.19B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK

Analysis

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