SkiStar AB (publ)

SSE:SKIS-B.ST

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 24.63431.07124.6126.55659.56771.25373.146105.51292.71923.51327.35726.27741.13139.81938.39839.43254.38527.57222.71819.11113.9859.32727.665
Kortetermijnbeleggingen -11.5-98.234-108.623-72.889-220.29-245.794-258.579-237.82-202.9210000000000-12.607-12.86800
Liquide middelen en kortetermijnbeleggingen 24.63431.07124.6126.55659.56771.25373.146105.51292.71923.51327.35726.27741.13139.81938.39839.43254.38527.57222.71819.11113.9859.32727.665
Nettovorderingen 35.18638.79837.8330.57616.52251.20128.77629.54936.465138.385154.037139.738138.324128.49132.251123.543137.62139.481227.591145.426000
Voorraad 415.024390.986295.904198.674229.995164.176166.223131.0584.9182.10968.66361.5566.23866.6754.41152.35148.3443.83223.66122.8524.66925.28622.236
Overige vlottende activa 300.486371.549288.542545.779286.292264.102343.752263.504124.776155.141175.16543.33629.751158.47227.17921.783155.62720.82224.52815.541149.49758.50997.58
Totaal vlottende activa 775.33832.404613.35801.595592.376550.732611.897529.615338.87281.589302.324270.901275.444264.961252.239237.109258.352231.707298.498202.928188.15193.122147.481
Niet-vlottende activa:
Materiële vaste activa, netto 6,799.3716,726.9076,167.4465,025.0584,599.3573,647.2583,380.543,145.3573,023.3912,707.0432,877.1042,931.0343,016.7943,057.0162,945.4082,972.092,938.3142,587.3182,296.1741,666.561,570.9741,497.6231,504.97
Goodwill 112.52397.475102.03288.31989.94296.15197.34693.03493.15892.87689.44786.2680000096.80382.27612.69317.56918.36217.578
Immateriële activa 124.847213.29595.63789.79391.66795.80298.315104.03112.365126.193124.386115.8350211.285223.441230.434230.47126.46163.6850.62532.10738.21639.28
Goodwill en immateriële activa 237.37213.295197.669178.112181.609191.953195.661197.064205.523219.069213.833202.103211.65211.285223.441230.434230.47223.264145.95663.31849.67656.57856.858
Langetermijnbeleggingen 827.953988.388995.059869.241649.909675.834682.468635.824539.362350.647339.794329.019000000031.7628.16600
Belastingvorderingen 0-988.3881.04713.6053.1671.446-682.468-635.824-539.362-350.64723.74122.0150000006.81831.26935.20900
Overige niet-vlottende activa 41.868988.387-1.047-13.604-3.167-1.446682.469635.824539.362552.137203.438138.87497.967359.055305.386229.063144.041144.95980.5242.25923.66123.15235.097
Totaal niet-vlottende activa 7,906.5627,928.5897,360.1746,072.4125,430.8754,515.0454,258.673,978.2453,768.2763,478.2493,657.913,623.0413,726.4113,627.3563,474.2353,431.5873,312.8252,955.5412,529.4681,835.1661,707.6861,577.3531,596.925
Totaal activa 8,681.8928,760.9937,973.5246,873.9976,023.2515,065.7774,870.5674,507.864,107.1463,759.8383,960.2343,893.9424,001.8553,892.3173,726.4743,668.6963,571.1773,187.2482,827.9662,038.0941,895.8371,670.4751,744.406
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 176.996188.041223.159154.354147.24118.583129.292130.92396.21973.91982.74464.97443.31572.75864.50644.41678.79864.17878.45947.26546.75540.26628.763
Kortlopende schulden 1,136.9841,291.336441.392656.964551.339-9.218356.59879.918506.3341,583.274498.726666.171673.685157.9820.78325.113013.70113.7010000
Belastingschulden 89.264119.33132.53263.82572.71788.12463.75534.67237.01131.78421.69218.90813.07624.48933.21124.64415.98713.8112.7979.9578.66800
Uitgestelde opbrengsten 0288.3970332.173183.079192.94363.755124.728126.683120.101108.027118.4360102.023114.784134.127013.8112.7970000
Overige kortlopende verplichtingen 482.743165.862436.966217.013159.11178.986280.449164.93274.99764.47564.351178.863189.981142.976150.777186.553177.309114.764123.35129.282143.23124.713144.541
Totaal kortlopende verplichtingen 1,885.9872,017.9681,234.0491,424.3291,113.486636.492930.0011,439.654967.9271,975.323879.739928.916920.057398.203269.277280.726272.094206.453228.307186.504198.653164.979173.304
Langlopende verplichtingen:
Langetermijnschulden 2,883.5663,010.6593,166.5682,534.5162,138.3281,587.8111,286.047776.9431,114.44946.0221,465.3391,440.6881,571.6111,988.0971,893.1331,944.27529.9971,680.4251,304.3570000
Uitgestelde opbrengsten niet-vlottend 018.40400000067.27700003.8777.70820.3723.329000000
Uitgestelde belastingverplichtingen niet-vlottend 224.198195.028196.266126.448186.364193.648185.926146.09687.54743.6127.83326.03927.61630.55929.14321.72512.28918.49320.20000
Overige niet-vlottende verplichtingen 31.33818.40417.336141.127210.91345.76247.50454.9160.00153.49449.5916.15826.0431.23229.99729.9971,955.16924.59526.233775.68711.291770.044888.116
Totaal niet-vlottende verplichtingen 3,139.1023,259.0893,380.172,675.6432,349.2411,827.2211,519.477977.9551,269.274143.1261,542.7621,482.8851,625.272,027.6421,959.9812,016.3672,020.7841,723.5131,350.79775.68711.291770.044888.116
Totaal passiva 5,025.0895,277.0574,614.2194,099.9723,462.7272,463.7132,449.4782,417.6092,237.2012,118.4492,422.5012,411.8012,545.3272,425.8452,229.2582,297.0932,292.8781,929.9661,579.097962.184909.944935.0231,061.42
Eigen vermogen:
Preferente aandelen 069.91227.99564.39973.56522.24316.26369.46279.53289.33942.50133.71100000000000
Gewone aandelen 19.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.59419.58419.5419.51619.27919.27919.279
Ingehouden winsten 3,373.9223,135.2422,968.0052,405.5372,167.4172,150.721,958.7331,684.7191,470.9071,312.4771,161.8541,097.3941,058.4621,039.0721,073.918943.161846.709944.786944.872171.962313.483508.434468.227
Overige gereserveerde algehele resultaten -135.317-69.912-27.995-64.399-73.565-22.243-16.263-69.462-79.532-89.339-42.501-33.71100000000000
Overige totale aandeelhoudersvermogen 397.573257.749341.583268.775397.573353.087365.047258.649238.509308.234397.573363.862378.472407.806403.704408.848412.224281.68280.842883.354652.197207.376194.71
Totaal eigen vermogen van aandeelhouders 3,655.7723,482.4973,357.1772,758.3052,511.0192,545.6442,359.6372,032.4241,808.5421,640.3051,536.521,480.851,456.5281,466.4721,497.2161,371.6031,278.5271,256.8511,248.4661,074.832984.959735.089682.216
Totaal eigen vermogen 3,656.8033,483.9363,359.3052,774.0252,560.5242,602.0642,421.0892,090.2511,869.9451,641.3891,537.7331,482.1411,456.5281,466.4721,497.2161,371.6031,278.2991,257.2821,248.8691,075.371985.426735.452682.986
Totaal passiva en aandeelhoudersvermogen 8,681.8928,760.9937,973.5246,873.9976,023.2515,065.7774,870.5674,507.864,107.1463,759.8383,960.2343,893.9424,001.8553,892.3173,726.4743,668.6963,571.1773,187.2482,827.9662,038.0941,895.8371,670.4751,744.406