Proact IT Group AB (publ)

SSE:PACT.ST

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 547.897505.684463.934468.309373.161269.941220.373214.444158.785142.85943.921102.91670.45172.95997.42384.53167.01754.67258.31365.35154.20267.323
Kortetermijnbeleggingen 00000000000000000-6.4980000
Liquide middelen en kortetermijnbeleggingen 547.897505.684463.934468.309373.161269.941220.373214.444158.785142.85943.921102.91670.45172.95997.42384.53167.01754.67258.31365.35154.20267.323
Nettovorderingen 845.009964.465659.92645.431733.702734.515694.617763.734638.794574.661556.304535.749784.273000000236.172209.444267.675
Voorraad 15.44264.06515.61812.96320.24730.59437.4443.58712.26228.22716.39229.94236.8789.7917.3268.41218.4439.32308.5510.86425.22
Overige vlottende activa 588.844552.67457.828398.893388.4881,067.492925.408994.166858.504809.603839.1799.5339.159612.413479.023398.624291.948272.32258.7373.93472.46388.933
Totaal vlottende activa 1,997.1922,086.8841,597.31,525.5961,515.5981,368.0271,183.2211,252.1971,029.551980.689899.413932.391900.761695.163583.772491.567377.408336.317296.768314.007346.973449.151
Niet-vlottende activa:
Materiële vaste activa, netto 319.317366.847322.905309.776384.32473.41662.5855.22454.23158.78867.8699.275119.25245.81126.86415.74812.20910.92212.05814.09617.65730.056
Goodwill 983.571983.638820.708551.67516.421393.164385.022322.23334.311280.618258.194256.862256.70875.12277.35975.31967.52762.78571.84572.93151.2259.457
Immateriële activa 177.31230.729224.869112.2393.23470.42399.373108.794121.587121.277126.656140.637161.22816.20221.71324.55412.91114.92617.14903.7460.905
Goodwill en immateriële activa 1,160.8811,214.3671,045.577663.9609.655463.587484.395431.024455.898401.895384.85397.499417.93691.32499.07299.87380.43877.71188.99472.93154.96660.362
Langetermijnbeleggingen 111.908120.18274.69408.81350.887207.545109.94353.0896.0370000000012.9960000
Belastingvorderingen 22.45325.5916.86615.85316.24713.6717.24515.24115.01213.52917.60617.6928.67827.99133.47330.748043.00435.591000
Overige niet-vlottende activa 432.697428.002337.6340.001-0.00186.848-25.3890.001085.99469.08245.95639.26810.6827.6636.37445.496-6.4985.63539.94811.26615.873
Totaal niet-vlottende activa 2,047.2562,154.9881,797.6721,398.341,361.112845.066648.774554.57621.178560.206539.398560.42605.134175.808167.072152.743138.143138.135142.278126.97583.889106.291
Totaal activa 4,044.4484,241.8723,394.9722,923.9362,876.712,213.0931,831.9951,806.7671,650.7291,540.8951,438.8111,492.8111,505.895870.971750.844644.31515.551474.452439.046440.982430.862555.442
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 529.97625.05416.294501.925530.181481.784509.797556.117508.402488.63450.361458.48445.738324.321185.442184.831125.145124.78997.32696.3171.284118.992
Kortlopende schulden 100.258113.416104.19394.665105.0766.42746.84879.38455.51854.43461.21367.71638.271000000000
Belastingschulden 25.035144.18695.67798.50886.46382.7569.71568.10879.99892.93576.47990.10625.29211.3219.7797.2763.1411.1340.2051.4982.1634.161
Uitgestelde opbrengsten 802.516656.804917.556810.205814.2982.75691.632664.387608.594581.328512.314537.736441.547000000000
Overige kortlopende verplichtingen -153.401-287.413-455.196-541.507-576.152135.189-549.811-607.228-574.553-564.723-505.409-531.878-352.95413.453174.5195.23396.57659.02175.56185.79181.07667.675
Totaal kortlopende verplichtingen 1,834.3481,877.0931,494.8181,465.7211,490.0391,270.6841,277.9781,316.8851,186.3611,141.2341,045.3191,080.641,043.632673.416555.173472.171350.007309.733270.418279.909225.807309.82
Langlopende verplichtingen:
Langetermijnschulden 221.92617.821619.909351.629428.762107.4487.25114.197107.62495.094103.775120.244203.1853.882600000.6463.990.992
Uitgestelde opbrengsten niet-vlottend 755.427731.545000000000000.4200000000
Uitgestelde belastingverplichtingen niet-vlottend 58.18673.12169.18333.21728.05121.76823.15221.92423.426.77330.37437.62443.1924.9266.4986.6246.86.386.377000
Overige niet-vlottende verplichtingen 165.96318.871497.202468.368403.983343.59852.85421.19816.5798.47116.72925.8121.0851.8592.525.4610.8180.3781.2173.73414.0123.617
Totaal niet-vlottende verplichtingen 1,201.4961,441.3581,186.294853.214860.796472.806163.256157.319147.603130.338150.878183.68247.46211.08715.01812.0857.6186.7587.5944.381824.609
Totaal passiva 3,035.8443,318.4512,681.1122,318.9352,350.8351,743.491,441.2341,474.2041,333.9641,271.5721,196.1971,264.321,291.094684.503570.191484.256357.625316.491278.012284.289243.807334.429
Eigen vermogen:
Preferente aandelen 00012.846002.6145.8105.10714.02600000000000
Gewone aandelen 10.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61910.61911.79811.79811.7989.4329.432
Ingehouden winsten 632.423538.987382.93306.212194.506152.35581.23124.59528.657-46.684-65.252-77.68-96.507-119.9138.502-156.145-155.353154.5720000
Overige gereserveerde algehele resultaten 67.59871.96319.098-12.84621.1226.883-2.614-5.81308.583-5.107-14.02600000000000
Overige totale aandeelhoudersvermogen 297.964297.964297.964285.118297.964297.964295.35292.154-42.36292.857283.936285.12291.116292.23827.712301.965298.818-22.639133.552130.077177.623211.581
Totaal eigen vermogen van aandeelhouders 1,008.604919.533710.611601.949524.211467.821387.2327.368305.499256.792229.303218.059205.228182.957176.833156.439154.084143.731145.35141.875187.055221.013
Totaal eigen vermogen 1,008.604923.421713.86605.001525.875469.603390.761332.563316.765269.323242.614228.491214.801186.468180.653160.054157.926150.846153.192149.284187.055221.013
Totaal passiva en aandeelhoudersvermogen 4,044.4484,241.8723,394.9722,923.9362,876.712,213.0931,831.9951,806.7671,650.7291,540.8951,438.8111,492.8111,505.895870.971750.844644.31515.551474.452439.046440.982430.862555.442