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

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  • 20.976
  • -0.025-0.12%
15min DelayClose Jul 26 16:00 ET
23.60BMarket Cap7.44P/E (TTM)

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

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-3.78%10.98B
10.05%10.65B
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
Other non cashItems
----
----
46.69%-322M
----
----
----
----
68.18%-604M
----
----
Change in working capital
41.03%-14.46B
296.90%63.17B
-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
-Change in loans
----
----
12.26%-103.01B
-1,218.59%-125.83B
----
----
----
-613.25%-117.4B
94.59%-9.54B
-11.59%-3.67B
-Change in other current assets
-194.25%-34.36B
58.97%-71.33B
105.08%335M
-84.19%8.49B
483.79%129.24B
486.62%36.45B
-914.16%-173.85B
-133.61%-6.59B
217.33%53.65B
-337.24%-33.68B
-Change in other current liabilities
132.64%19.9B
-5.12%134.5B
-72.10%21.27B
84.82%-5.48B
-247.66%-54.05B
-209.74%-60.97B
602.25%141.76B
1,466.18%76.23B
-276.45%-36.11B
45.62%36.6B
Cash from discontinued operating activities
Operating cash flow
47.37%-9.9B
461.85%72.17B
-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
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-172.09%-117M
91.13%-26M
-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
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
Cash from discontinued investing activities
Investing cash flow
-3,450.00%-71M
127.37%75M
-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
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-103.40%-689M
24.48%16.88B
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
Cash dividends paid
----
----
13.20%-10.96B
--0
--0
----
----
22.55%-12.63B
--0
--0
Cash from discontinued financing activities
Financing cash flow
-296.85%-17.94B
24.12%16.58B
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
Net cash flow
Beginning cash position
-4.02%346.84B
-30.87%252.99B
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
Current changes in cash
-187.86%-27.91B
1,395.42%88.83B
-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
Effect of exchange rate changes
-130.05%-2.04B
127.08%5.01B
-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
End cash position
-11.59%316.89B
-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
Free cash flow
46.76%-10.06B
455.43%72.14B
-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
Currency Unit
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
(Q2)Jun 30, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -3.78%10.98B10.05%10.65B62.99%43.62B29.70%11.08B63.20%11.45B103.31%11.41B73.12%9.68B3.66%26.76B43.00%8.54B3.01%7.01B
Other non cashItems --------46.69%-322M----------------68.18%-604M--------
Change in working capital 41.03%-14.46B296.90%63.17B-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
-Change in loans --------12.26%-103.01B-1,218.59%-125.83B-------------613.25%-117.4B94.59%-9.54B-11.59%-3.67B
-Change in other current assets -194.25%-34.36B58.97%-71.33B105.08%335M-84.19%8.49B483.79%129.24B486.62%36.45B-914.16%-173.85B-133.61%-6.59B217.33%53.65B-337.24%-33.68B
-Change in other current liabilities 132.64%19.9B-5.12%134.5B-72.10%21.27B84.82%-5.48B-247.66%-54.05B-209.74%-60.97B602.25%141.76B1,466.18%76.23B-276.45%-36.11B45.62%36.6B
Cash from discontinued operating activities
Operating cash flow 47.37%-9.9B461.85%72.17B-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
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -172.09%-117M91.13%-26M-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
Net business purchase and sale --------60.74%-53M--0--096.39%-3M-127.27%-50M-164.71%-135M-112.50%-17M-18.18%-13M
Cash from discontinued investing activities
Investing cash flow -3,450.00%-71M127.37%75M-160.49%-418M196.67%58M-127.27%-200M-100.25%-2M-1,196.00%-274M10.03%691M-134.88%-60M-1,000.00%-88M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -103.40%-689M24.48%16.88B87.38%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
Cash dividends paid --------13.20%-10.96B--0--0--------22.55%-12.63B--0--0
Cash from discontinued financing activities
Financing cash flow -296.85%-17.94B24.12%16.58B221.27%32.18B125.78%523M-50.42%9.18B179.69%9.12B168.67%13.36B-29.23%10.02B74.28%-2.03B492.29%18.51B
Net cash flow
Beginning cash position -4.02%346.84B-30.87%252.99B1.62%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
Current changes in cash -187.86%-27.91B1,395.42%88.83B-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
Effect of exchange rate changes -130.05%-2.04B127.08%5.01B-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%491M
End cash position -11.59%316.89B-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
Free cash flow 46.76%-10.06B455.43%72.14B-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
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK

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