Capital employed
Total assets less non-interest-bearing liabilities including deferred tax liability.
Cash flow per share
Cash flow from current operations divided by average number of shares during the year.
Dividend per share, SEK
Dividend divided by number of shares at year-end.
Earnings per share
Net earnings divided by average number of shares during year.
Equity/assets ratio
Equity as a percentage of total assets.
Equity per share
Equity divided by number of shares at end of year.
Operating margin
Operating profit, expressed as a percentage of net sales.
P/E-ratio
Share price divided by earnings per share, before and after dilution.
Price/Adjusted equity per share
Share price divided by adjusted equity per share at year-end.
Profit margin
Income after financial items expressed as a percentage of net sales.
Return on capital employed
Operating profit plus financial income expressed as a percentage of average capital employed.
Return on equity
Net income after taxes expressed as a percentage of average shareholders’ equity.
Return on total capital
Operating profit plus financial income expressed as a percentage of balance sheet total.
Share of risk-bearing capital
Equity plus deferred tax liabilities expressed as a percentage of total assets.