Stillfront Group Logo

Stillfront Group

ISIN: SE0015346135 | Ticker: SF | LEI: 529900SYKCO4GYBTIJ54
Country: Sweden

About Stillfront Group

Company Description

Stillfront is a global games company founded in 2010. We develop digital games for a diverse gaming audience and our broad games portfolio is enjoyed by almost 70 million people every month. Stillfront is focused on realizing synergies by connecting and empowering game teams globally through our Stillops platform. We are a fast-growing company and an active global strategic acquirer. Our 1,500+ professionals thrive in an organization that embodies the spirit of entrepreneurship.

Our main markets are the US, Japan, MENA, Germany and the UK. We are headquartered in Stockholm, Sweden, and the company’s shares are listed on Nasdaq Stockholm Large Cap.

Year founded

2010

Served area

Worldwide

Headquarters

Kungsgatan 38, 11135 Stockholm – Sweden

Financial statements

Download as Excel
Line item in (sek) 01.01.2020 01.01.2021 01.01.2022 01.01.2023
Assets N/A 12,366,000,000.00 20,049,000,000.00 24,126,000,000.00
Noncurrent Assets N/A 10,906,000,000.00 18,169,000,000.00 22,440,000,000.00
Property Plant And Equipment N/A 29,000,000.00 35,000,000.00 56,000,000.00
Goodwill N/A 7,929,000,000.00 12,752,000,000.00 16,043,000,000.00
Deferred Tax Assets N/A N/A 39,000,000.00 75,000,000.00
Noncurrent Financial Assets At Amortised Cost N/A N/A 7,000,000.00 16,000,000.00
Other Noncurrent Nonfinancial Assets N/A 11,000,000.00 7,000,000.00 N/A
Current Assets N/A 1,461,000,000.00 1,880,000,000.00 1,686,000,000.00
Current Trade Receivables N/A 270,000,000.00 390,000,000.00 472,000,000.00
Other Current Receivables N/A 109,000,000.00 235,000,000.00 90,000,000.00
Current Tax Assets Current N/A 21,000,000.00 23,000,000.00 10,000,000.00
Cash and cash equivalents 342,000,000.00 1,005,000,000.00 1,133,000,000.00 989,000,000.00
Equity And Liabilities N/A 12,366,000,000.00 20,049,000,000.00 24,126,000,000.00
Equity 1,959,000,000.00 6,146,000,000.00 9,795,000,000.00 14,242,000,000.00
Issued Capital N/A 24,000,000.00 27,000,000.00 36,000,000.00
Retained Earnings N/A 734,000,000.00 1,325,000,000.00 1,825,000,000.00
Share Premium N/A 6,179,000,000.00 8,541,000,000.00 10,942,000,000.00
Other Reserves N/A -808,000,000.00 -120,000,000.00 1,434,000,000.00
Equity Attributable To Owners Of Parent N/A 6,129,000,000.00 9,772,000,000.00 14,237,000,000.00
Noncontrolling Interests N/A 17,000,000.00 23,000,000.00 6,000,000.00
Noncurrent Liabilities N/A 4,850,000,000.00 7,368,000,000.00 7,909,000,000.00
Noncurrent Provisions N/A 3,000,000.00 3,000,000.00 58,000,000.00
Deferred Tax Liabilities N/A N/A 1,053,000,000.00 1,127,000,000.00
Other Noncurrent Financial Liabilities N/A N/A 2,361,000,000.00 2,090,000,000.00
Other Noncurrent Liabilities N/A 1,398,000,000.00 2,361,000,000.00 N/A
Longterm Borrowings N/A 1,216,000,000.00 1,456,000,000.00 1,471,000,000.00
Noncurrent Portion Of Noncurrent Bonds Issued N/A 1,602,000,000.00 2,494,000,000.00 2,496,000,000.00
Noncurrent Portion Of Other Noncurrent Borrowings N/A N/A N/A 668,000,000.00
Current Liabilities N/A 1,371,000,000.00 2,886,000,000.00 1,975,000,000.00
Trade And Other Current Payables N/A 74,000,000.00 139,000,000.00 N/A
Trade And Other Current Payables To Trade Suppliers N/A N/A 139,000,000.00 151,000,000.00
Current Accruals And Current Deferred Income Including Current Contract Liabilities N/A N/A 405,000,000.00 419,000,000.00
Current Tax Liabilities Current N/A 60,000,000.00 74,000,000.00 40,000,000.00
Other Current Liabilities N/A 977,000,000.00 1,669,000,000.00 1,286,000,000.00
Current Bonds Issued And Current Portion Of Noncurrent Bonds Issued N/A 0.00 597,000,000.00 N/A
Line item in (sek) 01.01.2020/
01.01.2021
01.01.2021/
01.01.2022
01.01.2022/
01.01.2023
Revenue 3,991,000,000.00 5,455,000,000.00 7,058,000,000.00
Other Income 15,000,000.00 26,000,000.00 28,000,000.00
Other Work Performed By Entity And Capitalised 328,000,000.00 462,000,000.00 609,000,000.00
Employee Benefits Expense 616,000,000.00 899,000,000.00 1,221,000,000.00
Depreciation And Amortisation Expense 560,000,000.00 986,000,000.00 1,695,000,000.00
Other Expense By Nature 2,160,000,000.00 3,016,000,000.00 3,915,000,000.00
Profit Loss From Operating Activities 993,000,000.00 1,034,000,000.00 850,000,000.00
Finance Income 12,000,000.00 21,000,000.00 256,000,000.00
Finance Costs 205,000,000.00 263,000,000.00 353,000,000.00
Profit Loss Before Tax 799,000,000.00 793,000,000.00 752,000,000.00
Income Tax Expense Continuing Operations 219,000,000.00 197,000,000.00 206,000,000.00
Profit (loss) 581,000,000.00 596,000,000.00 547,000,000.00
Profit Loss Attributable To Owners Of Parent 580,000,000.00 590,000,000.00 559,000,000.00
Profit Loss Attributable To Noncontrolling Interests 0.00 6,000,000.00 -12,000,000.00
Line item in (sek) 01.01.2020 01.01.2021 01.01.2022 01.01.2023
Profit (loss) N/A 581,000,000.00 596,000,000.00 547,000,000.00
Other Adjustments To Reconcile Profit Loss N/A 660,000,000.00 1,043,000,000.00 1,640,000,000.00
Cash Flows From Used In Operations N/A 77,000,000.00 5,000,000.00 N/A
Cash Flows From Used In Operating Activities N/A N/A 1,620,000,000.00 2,028,000,000.00
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities N/A 4,273,000,000.00 3,317,000,000.00 2,724,000,000.00
Purchase Of Property Plant And Equipment Classified As Investing Activities N/A 19,000,000.00 15,000,000.00 N/A
Cash Flows From Used In Investing Activities N/A -4,737,000,000.00 -4,176,000,000.00 -3,758,000,000.00
Proceeds From Issuing Other Equity Instruments N/A 20,000,000.00 0.00 N/A
Payments Of Other Equity Instruments N/A 2,000,000.00 0.00 N/A
Proceeds From Borrowings Classified As Financing Activities N/A 1,800,000,000.00 1,486,000,000.00 653,000,000.00
Repayments Of Borrowings Classified As Financing Activities N/A 48,000,000.00 0.00 801,000,000.00
Payments Of Lease Liabilities Classified As Financing Activities N/A 34,000,000.00 46,000,000.00 57,000,000.00
Other Inflows Outflows Of Cash Classified As Financing Activities N/A N/A 0.00 -159,000,000.00
Cash Flows From Used In Financing Activities N/A 4,214,000,000.00 2,612,000,000.00 1,462,000,000.00
Increase (decrease) in cash and cash equivalents before effect of exchange rate changes N/A 729,000,000.00 56,000,000.00 -267,000,000.00
Effect Of Exchange Rate Changes On Cash And Cash Equivalents N/A -66,000,000.00 72,000,000.00 123,000,000.00
Cash and cash equivalents 342,000,000.00 1,005,000,000.00 1,133,000,000.00 989,000,000.00

Please note that some sums might not add up.

Filings & Publications

2022

Report
Q1
H1
Q3
FY
Consolidated Report
SWE
Corporate Governance Report
Company Presentation
Sustainability Report
Remuneration Report

2021

Report
Q1
H1
Q3
FY
Consolidated Report
SWE
Corporate Governance Report
Company Presentation
Sustainability Report
Remuneration Report

Insider Trades

Date Trading entity / Person Association Trade type Volume
19.02.24 Jörgen Larsson Other Buy SEK 401,400.00
08.02.24 Katarina Åkerlind Bonde Other Buy SEK 110,000.00
26.10.23 Jörgen Larsson Other Buy SEK 464,121.56
26.10.23 Andreas Uddman Other Buy SEK 115,500.00
25.10.23 Marcus Jacobs Other Buy SEK 129,600.00
03.08.23 Marcus Jacobs Other Buy SEK 372,000.00
27.07.23 Erik Forsberg Other Buy SEK 344,890.00
09.06.23 Katarina Åkerlind Bonde Other Buy SEK 173,150.00
23.09.22 Marcus Jacobs Other Buy SEK 432,000.00
17.05.22 Clayton Stark Other Other SEK 0.00

Capital markets information

ISIN

SE0015346135

LEI

529900SYKCO4GYBTIJ54

Sector

Communication Services

Industry Group

Media & Entertainment

Industry

Entertainment

Sub-Industry

Movies & Entertainment

Listed Stock Exchange

Nasdaq Stockholm

Contact Investor Relations department

Stay up to date

Keep yourself informed with the most recent updates on FinancialReports, IPOs, product advancements, and other significant news.