Betsson AB

SSE:BETS-B.ST

108.4 (SEK) • At close February 20, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) SEK.

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 308.5237.1168.395.685.55261.02847.53348.81646.38357.0750.62363.48854.26757.14255.351.60934.06524.6458.5688.3342.1993.5143.4032.63
Kortetermijnbeleggingen 20.953-0.035-0.032-0.008-0.0070.0040.1320.0020.001-0.0060.007-0.002-22.26800000000000
Liquide middelen en kortetermijnbeleggingen 308.5237.1168.395.685.55261.02847.53348.81646.38357.0750.62363.48854.26757.14255.351.60934.06524.6458.5688.3342.1993.5143.4032.63
Nettovorderingen 58.02448.18156.8259.25858.120000000000000002.5842.6372.2341.729
Voorraad 000116.689-0.6810000000-665.26100000000.2680.2620.1970.183
Overige vlottende activa 212.276149.319143.48116.742125.513152.546161.728126.444110.39891.582108.73692.95187.43181.79956.63737.08128.53220.6722.1167.4582.9531.5571.7871.862
Totaal vlottende activa 578.8434.6368.6271.6258.79213.573209.261175.26156.78179.596159.359156.439141.699138.942111.93788.69562.59245.31719.72515.7928.0047.7727.6226.404
Niet-vlottende activa:
Materiële vaste activa, netto 20.1721.89126.15127.63727.67816.5539.2869.9448.9726.2025.396.0683.3143.0112.8541.6781.6941.3021.1732.9033.0782.7612.9712.538
Goodwill 482.932475.192363.98354.595328.959305.185304.646304.82288.018257.099232.344176.961146.08300000000.4910.7120.821.132
Immateriële activa 252.768242.008232.239218.316198.467193.129197.623198.499195.099175.666127.87953.05547.277050.08145.27940.31342.59744.76242.0051.3940.50.4790.171
Goodwill en immateriële activa 735.7717.182596.219572.911527.426498.314502.269503.319483.117432.765360.223230.016193.36110.13850.08145.27940.31342.59744.76242.0051.8851.2121.2991.303
Langetermijnbeleggingen 0.04716.919.6241.8181.300.9331.3141.8442.6453.00525.194000-00000000
Belastingvorderingen 11.50.5278.11.13.4324.7755.5494.463.6392.313.1011.3172.1391.6160.6840.1460.2230.10500.0740000
Overige niet-vlottende activa 21.0839.5270.03-0.048-0.0070.1160.2410.2650.001-0.0060.007-0.002-22.2681.1440000.0310.0790.1723.6611.5150.5010.514
Totaal niet-vlottende activa 788.5765.5650.1625.6560.348521.057517.346518.92497.043443.114371.366240.405201.739115.9153.61947.10342.23144.03546.01545.1538.6235.4884.7724.355
Totaal activa 1,367.21,200.11,018.7897.2819.138734.631726.607694.18653.823622.711530.726396.843343.438254.851165.556135.798104.82389.35165.7460.94516.62713.2612.39410.758
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 015.217.813.86.9657.9610.83517.7999.4398.3496.11510.6088.4993.0284.3311.9271.2692.0092.2091.7820.3550.3320.2570.447
Kortlopende schulden 6.69.7-156.506103.212.7574.90796.97367.599024.83035.63400000000.3720000
Belastingschulden 090.40298.01284.82475.86473.39877.30257.18862.6362.52780.68844.04143.75441.85124.97820.68917.0189.3683.5390.7640.259000.11
Uitgestelde opbrengsten 00162.606129.025122.735110.655116.13386.085094.589068.60100000003.4410000
Overige kortlopende verplichtingen 311.1138.898-25.718-18.149108.73980.38678.82372.74875.446116.60262.49576.71466.81159.47243.9332.71420.40711.9155.3765.0733.9043.6273.5693.87
Totaal kortlopende verplichtingen 317.7254.2258.8312.7204.325166.651263.933215.335147.515212.308149.298166.998119.064104.35173.23955.33538.69423.29211.1237.9924.5183.9593.8264.427
Langlopende verplichtingen:
Langetermijnschulden 179.6174.5108.913.9111.31197.1549.094101.2138.39854.92555.259040.0220000001.030000
Uitgestelde opbrengsten niet-vlottend 00-3.2-1.8-1.7051.3823.1761.3130-000344.54700000000000
Uitgestelde belastingverplichtingen niet-vlottend 12.112.23.21.81.6981.3914.0772.9792.19712.5880.5680.4671.07800.4630.4390.39300.1061.530000
Overige niet-vlottende verplichtingen 0.10002.1423.0563.3831.0952.09712.5880.7210304.5250.8990000.024001.0530.6860.4490.489
Totaal niet-vlottende verplichtingen 191.8186.7112.115.7113.009100.2116.347105.492140.59467.51255.980.46741.10.8990.4630.4390.3930.0240.1062.5591.0530.6860.4490.489
Totaal passiva 509.5440.9370.9328.4317.334266.861280.28320.826288.109279.821205.279167.465160.164105.2573.70355.77439.08723.31611.22910.5515.5714.6444.2754.916
Eigen vermogen:
Preferente aandelen 000000.67400.3330.13900.4780000000000000
Gewone aandelen 09.49.49.49.5489.1989.3689.80810.05710.3739.8559.8059.829.2828.8017.7167.228.3798.7768.096.9156.7646.7134.378
Ingehouden winsten 0592.4471.6402.1342.939278.951259.78201.957193.43173.684141.946113.885100.66283.7153.5346.29333.79432.22319.67817.3031.0890.1710.099-5.25
Overige gereserveerde algehele resultaten 0027.616.64.09741.98437.76815.16112.1362.62421.6733.118000000000000
Overige totale aandeelhoudersvermogen 869.1168.2145.6143.7146.803180.486177.179162.026162.402158.833174.064105.68872.79356.60929.52326.0224.68525.34725.96624.3332.6621.2031.0996.69
Totaal eigen vermogen van aandeelhouders 869.1770654.2571.8499.29467.77446.328373.354365.714342.89325.447229.378183.274149.60191.85380.02365.69965.94954.4249.72610.6668.1377.9115.818
Totaal eigen vermogen 857.7759.2647.8568.8501.804467.906446.328373.354365.714342.89325.447229.378183.274149.60191.85380.02365.73665.99254.46550.0610.8618.3768.0155.83
Totaal passiva en aandeelhoudersvermogen 1,367.21,200.11,018.7897.2819.138734.631726.607694.18653.823622.711530.726396.843343.438254.851165.556135.798104.82389.26565.6560.27816.23712.78212.18610.735