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Volvo Car

Created with Highcharts 6.0.4Sales and Profits (SEK mil)SalesNet ProfitSep 2015Dec 2015Mar 2016Jun 2016Sep 2016Dec 2016Mar 2017Jun 2017Sep 2017Dec 2017Mar 2018Jun 2018Sep 2018Dec 2018Mar 2019Jun 2019Sep 2019Dec 2019Mar 2020Jun 202020k40k60k80k100k-2.5k02.5k5k
Profit Statement Dec 2019 Mar 2020 Jun 2020
Sales SEK mil 79,195 55,880 55,880
Gross Profit SEK mil 15,143 8,640 8,640
EBITDA SEK mil 9,104 3,804 3,804
EBIT SEK mil 5,058 -101 -101
Financing Cost SEK mil 248 ... ...
Pre-Tax Profit SEK mil 4,973 -659 -659
Net Profit SEK mil 3,282 -869 -869
Dividends SEK mil 0 0 0
Balance Sheet Dec 2019 Mar 2020 Jun 2020
Total Assets SEK mil 241,564 238,583 235,602
Non-Current Assets SEK mil 124,053 124,356 124,660
Current Assets SEK mil 117,511 114,226 110,942
Working Capital SEK mil 1,853 10,156 18,459
Shareholders' Equity SEK mil 63,648 53,264 62,879
Liabilities SEK mil 177,916 175,320 172,723
Total Debt SEK mil 36,386 34,610 32,834
Net Debt SEK mil -19,129 -15,054 -10,978
Ratios Dec 2019 Mar 2020 Jun 2020
ROE % 18.3 -5.94 -5.98
ROCE % 9.88 -2.67 -2.50
Gross Margin % 19.1 15.5 15.5
EBITDA Margin % 11.5 6.81 6.81
EBIT Margin % 6.39 -0.180 -0.180
Net Margin % 4.14 -1.55 -1.55
Net Debt/EBITDA -0.637 -0.557 -0.452
Net Debt/Equity % -30.1 -28.3 -17.5
Cost of Financing % 2.65 ... ...
Cash Flow Dec 2019 Mar 2020 Jun 2020
Total Cash From Operations SEK mil 18,075 -1,733 -1,733
Total Cash From Investing SEK mil -5,719 -4,669 -4,669
Total Cash From Financing SEK mil -4,497 2,094 2,094
Net Change In Cash SEK mil 6,937 -4,355 -4,355
Cash Conversion Cycle days 0.589 13.6 27.6
Cash Earnings SEK mil 7,198 ... ...
Free Cash Flow SEK mil 12,356 -6,402 -6,402

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