Rejlers Logo

Rejlers

ISIN

SE0000123671

Ticker

REJL

Sector

Industrials

Sub-Industry

Research & Consulting Services

Country

Sweden

Year Founded

1942

About Rejlers

Company Description

Rejlers is one of the leading engineering consultancy firms in the Nordic region. With cutting-edge expertise, we help companies, public authorities and other organisations meet tomorrow's societal challenges.

Our services are important building blocks for achieving a sustainable society. Founded in 1942, Rejlers success is built on the ability to constantly embrace new knowledge. Our vision "Home of the learning minds" guides us to continuous learning, development and growth.

With operations in Sweden, Finland, Norway and the United Arab Emirates, Rejlers has 2600 experts in technology areas such as energy, industry, infrastructure and real estate.

Served Area

Worldwide

Headquarters

Box 30233
10425, Stockholm
Sweden

Financial statements

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Line item in (sek) 01.01.2020 01.01.2021 01.01.2022 01.01.2023
Assets N/A 2,238,900,000.00 2,349,700,000.00 2,984,400,000.00
Noncurrent Assets N/A 1,281,100,000.00 1,419,900,000.00 1,829,600,000.00
Property Plant And Equipment N/A 317,700,000.00 311,100,000.00 319,200,000.00
Goodwill N/A 651,100,000.00 750,800,000.00 1,075,700,000.00
Investments In Associates N/A 3,800,000.00 6,300,000.00 6,900,000.00
Deferred Tax Assets N/A 20,900,000.00 20,900,000.00 14,000,000.00
Other Noncurrent Financial Assets N/A 10,900,000.00 18,900,000.00 25,000,000.00
Noncurrent Heldtomaturity Investments N/A 14,900,000.00 15,400,000.00 14,500,000.00
Current Assets N/A 957,800,000.00 929,800,000.00 1,154,800,000.00
Current Trade Receivables N/A 377,000,000.00 475,700,000.00 643,200,000.00
Other Current Receivables N/A 12,200,000.00 8,700,000.00 35,800,000.00
Cash and cash equivalents 142,000,000.00 336,600,000.00 151,900,000.00 144,800,000.00
Equity And Liabilities N/A 2,238,900,000.00 2,349,700,000.00 2,984,400,000.00
Equity 930,200,000.00 1,156,200,000.00 1,215,500,000.00 1,487,100,000.00
Issued Capital N/A 39,400,000.00 39,400,000.00 40,800,000.00
Retained Earnings N/A 618,600,000.00 659,900,000.00 795,800,000.00
Other Reserves N/A -9,300,000.00 8,700,000.00 60,400,000.00
Additional Paidin Capital N/A 507,500,000.00 507,500,000.00 590,100,000.00
Equity Attributable To Owners Of Parent N/A 1,156,200,000.00 1,215,500,000.00 1,487,100,000.00
Noncurrent Liabilities N/A 424,500,000.00 377,200,000.00 559,500,000.00
Noncurrent Provisions For Employee Benefits N/A 34,100,000.00 31,100,000.00 8,100,000.00
Deferred Tax Liabilities N/A 56,500,000.00 69,800,000.00 90,700,000.00
Noncurrent Debt Instruments Issued N/A 46,900,000.00 23,800,000.00 24,300,000.00
Other Noncurrent Liabilities N/A 7,100,000.00 31,200,000.00 95,500,000.00
Longterm Borrowings N/A 91,700,000.00 43,700,000.00 170,000,000.00
Current Liabilities N/A 658,200,000.00 757,000,000.00 937,800,000.00
Current Deferred Income Including Current Contract Liabilities N/A N/A 289,800,000.00 356,400,000.00
Current Debt Instruments Issued N/A 0.00 23,800,000.00 N/A
Other Current Liabilities N/A 124,900,000.00 152,000,000.00 212,500,000.00
Line item in (sek) 01.01.2020/
01.01.2021
01.01.2021/
01.01.2022
01.01.2022/
01.01.2023
Revenue From Rendering Of Services 2,366,900,000.00 2,898,700,000.00 3,513,000,000.00
Other Income 15,300,000.00 8,800,000.00 10,500,000.00
Employee Benefits Expense 1,587,000,000.00 1,801,100,000.00 2,141,500,000.00
Depreciation And Amortisation Expense 103,800,000.00 114,800,000.00 128,900,000.00
Other Expense By Nature 583,500,000.00 829,800,000.00 967,300,000.00
Profit Loss From Operating Activities 83,800,000.00 129,700,000.00 234,300,000.00
Finance Income N/A 40,400,000.00 60,000,000.00
Finance Costs N/A 34,100,000.00 48,500,000.00
Profit Loss Before Tax 49,800,000.00 136,000,000.00 245,800,000.00
Income Tax Expense Continuing Operations 17,300,000.00 25,800,000.00 49,400,000.00
Profit Loss From Continuing Operations 32,500,000.00 110,200,000.00 N/A
Profit Loss From Discontinued Operations 252,500,000.00 N/A N/A
Profit (loss) 285,000,000.00 110,200,000.00 196,400,000.00
Profit Loss Attributable To Owners Of Parent 285,000,000.00 110,200,000.00 196,400,000.00
Line item in (sek) 01.01.2020 01.01.2021 01.01.2022 01.01.2023
Profit (loss) N/A 285,000,000.00 110,200,000.00 196,400,000.00
Adjustments For Reconcile Profit Loss N/A -105,000,000.00 116,500,000.00 130,400,000.00
Adjustments For Decrease Increase In Inventories N/A 4,700,000.00 N/A N/A
Adjustments For Decrease Increase In Other Operating Receivables N/A 38,600,000.00 -56,700,000.00 -41,200,000.00
Adjustments For Increase Decrease In Trade Account Payable N/A 24,200,000.00 6,200,000.00 27,900,000.00
Adjustments For Increase Decrease In Other Operating Payables N/A 19,900,000.00 71,500,000.00 N/A
Adjustments For Depreciation And Amortisation Expense N/A 54,200,000.00 51,200,000.00 68,600,000.00
Other Adjustments For Noncash Items N/A 89,600,000.00 65,300,000.00 61,800,000.00
Adjustments For Reconcile Profit Loss N/A -105,000,000.00 116,500,000.00 130,400,000.00
Cash Flows From Used In Operations N/A 199,500,000.00 233,700,000.00 352,600,000.00
Interest Paid Classified As Operating Activities N/A 66,500,000.00 34,100,000.00 48,500,000.00
Interest Received Classified As Operating Activities N/A 34,000,000.00 40,400,000.00 60,000,000.00
Income Taxes Paid Refund Classified As Operating Activities N/A N/A -18,800,000.00 -23,600,000.00
Cash Flows From Used In Operating Activities N/A 331,600,000.00 170,000,000.00 275,200,000.00
Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities N/A 342,200,000.00 N/A N/A
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities N/A 223,400,000.00 108,500,000.00 224,400,000.00
Purchase Of Property Plant And Equipment Classified As Investing Activities N/A 36,300,000.00 17,900,000.00 15,300,000.00
Purchase Of Intangible Assets Classified As Investing Activities N/A 11,300,000.00 5,100,000.00 5,900,000.00
Cash Flows From Used In Investing Activities N/A 70,700,000.00 -132,400,000.00 -245,600,000.00
Proceeds From Borrowings Classified As Financing Activities N/A N/A N/A 201,800,000.00
Repayments Of Borrowings Classified As Financing Activities N/A 85,200,000.00 76,000,000.00 85,700,000.00
Payments Of Lease Liabilities Classified As Financing Activities N/A 91,700,000.00 78,600,000.00 93,900,000.00
Dividends Paid Classified As Financing Activities N/A 29,500,000.00 68,900,000.00 60,400,000.00
Cash Flows From Used In Financing Activities N/A -206,400,000.00 -223,500,000.00 -40,400,000.00
Increase (decrease) in cash and cash equivalents before effect of exchange rate changes N/A 195,900,000.00 -185,900,000.00 -10,800,000.00
Effect Of Exchange Rate Changes On Cash And Cash Equivalents N/A -1,300,000.00 1,200,000.00 3,700,000.00
Cash and cash equivalents 142,000,000.00 336,600,000.00 151,900,000.00 144,800,000.00

Please note that some sums might not add up.

Filings & Publications

  • Consolidated Report 2022 - Q4 Swedish πŸ‡ΈπŸ‡ͺ Published: 09.05.2023
  • Consolidated Report 2021 - Q4 Swedish πŸ‡ΈπŸ‡ͺ

Insider Trades

Date Trading entity / Person Association Trade type Volume
11.03.2024 Viktor Svensson Other Buy SEK 206,250.00
02.01.2024 JS Advice AB Other Sell SEK 125,000.00
26.10.2023 Gunnar Peter Johansson Other Buy SEK 172,320.00
15.09.2023 Jangunnar AB Other Buy SEK 998,694.00
04.05.2023 Peter Rejler Other Buy SEK 588,348.00
04.05.2023 Peter Rejler Other Buy SEK 371,442.50
02.05.2023 Petter Arnesen Other Buy SEK 46,500.00
27.04.2023 Viktor Svensson Other Buy SEK 240,750.00
21.04.2023 Viktor Svensson Other Buy SEK 115,115.00
20.04.2023 Viktor Svensson Other Buy SEK 45,885.00

Capital Markets Information

ISIN

SE0000123671

LEI

549300K5464VN6QLVB64

Listed Stock Exchange

Nasdaq Stockholm

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