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Five-year Summary
Consolidated Income Statement
Consolidated Balance Sheet
Consolidated Cash Flow Statement
Financial Risks
Operational Risks
General Accounting Principles
By business area

Five-year Summary

SEK 000 2007 2006 2005 2004 2003
IFRS  IFRS IFRS IFRS Swedish GAAP
Income Statement          
           
Net turnover 963,782  735,011 615,288 464,044 437,797
Other operating revenue 15,437  11,440 15,158 16,354 3,906
Operating expenses -868,041  -650,846 -556,178 -428,295 -410,694
Depreciation -24,886  -18,789 -14,204 -6,157 -5,396
Participations in associated companies' profits 647  347 54 - -

Operating profit 86,939  77,163 60,118 45,946 25,613
           
Net financial income/expenses* -2,359  35,890 -1,468 -13 1,238

Profit before tax 84,580  113,053 58,596 45,933 26,851
           
Tax on net profit -23,991  -22,067 -17,422 -13,275 -7,472

Net profit 60,589  90,986 41,174 32,658 19,379

Attributable to parent company shareholders

57,287 

90,269

41,174

32,658

19,379

Attributable to minority shareholders

3,302 

717

 

 

           
Equiv. to earnings per share, SEK 9,21  14,51 6.62 5.25 3.11

* Of which non-recurring profit

-5,266 

37,423

 

           
Balance Sheet          
 
Assets          
Fixed assets 227,053  163,394 155,324 46,270 25,854
Current assets 288,855  208,126 171,273 112,653 106,908
Liquid assets and short-term investments 71,939  91,914 63,743 74,646 73,175

Total assets 587,847  463,434 390,340 233,569 205,937
           
Liabilities and shareholders’ equity          
Shareholders’ equity 224,282  204,120 150,506 114,915 99,675
Long-term liabilities 148,515  89,726 94,085 34,468 23,103
Minority share of shareholders' equity 215,050  169,588 145,749 84,186 83,159

Total liabilities and shareholders’ equity 587,847  463,434 390,340 233,569 205,937
           
Of which interest-bearing liabilities 157,359  80,725 82,381 20,451 13,019
           
Financial Ratios          
           
Operating margin, % 9,0  10.5 9.8 9.9 5.9
Oper.margin before non-re.marg% 9,6
Profit margin, %

         6,3  

12.4 6.7 7.0 4.4
Equity ratio, % 38,2  44.0 38.5 49.2 48.4
Shareholders’ equity per share, SEK 34,28  32.81 24.19 18.47 16.02
Earnings per share, SEK 9.21 14.51 6.62 5.25 3.11
Earnings per share after tax, SEK 10.05  8.49 6.62 5.25 3.11
Return on equity after tax, % 28.3 51.3 31.0 30.4 19.2
Return on capital employed, % 26.6  45.3 33.1 37.9 24.3
Return on net operating assets, % 34.6  42.6 52.3 91.7 60.8
Average number of employees 463  314 294 199 206
Number of shares 6,221,488          
           
Cash Flow Statement          
           
Cash flow from operation activities before change in working capital 80,487  69,540 54,517 36,401 22,151
Change in working capital -35,388  -22,313 23,492 -6,010 7,848
Cash flow from investment activity -99,382  15,334 -130,057 -11,716 -6,878
Change in financing 69,249  -5,904 57,416 - -
Dividends paid -35,774  -20,220 -18,665 -17,109 -17,109

Cash flow for the year -20,808  36,437 -13,297 1,566 6,012
           
Liquid assets, opening balance 91,941  63,743 74,646 73,175 68,279
Exchange rate differences, liquid assets 833  -8,266 2,394 -95 -1,116
Liquid assets, closing balance 71,939  91,914 63,743 74,646 73,175
           


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