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NCC Group

Annual / Quarterly Financial Statement Apr 18, 2013

2948_rns_2013-04-18_9121e2b4-e58a-44dd-b027-22acf6013327.pdf

Annual / Quarterly Financial Statement

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Income statement

Gro
up
201
2
Ch
ang
e
IAS
19R
201
2
Ch
ang
e
IAS
19R
201
2
Ch
ang
e
IAS
19R
201
2
Ch
ang
e
IAS
19R
SE
K M
De
c.
De
c. 2
012
Se
p.
Se
201
2
p.
Jun Jun
. 20
12
Ma
r.
Ma
r. 2
012
N
ale
et s
s
57,
227
57,
227
38,
157
38,
157
24,
392
24,
392
10,
659
10,
659
P
rod
uct
ion
sts
co
-51
,72
4
7
-
51,
731
-
34,
863
-
6
-
34,
868
-
22,
516
-
6
-
22,
522
-
10,
071
-
4
-
10,
075
-
Gro
fit
ss
pro
5,
503
7
-
5,
495
3,
295
6
-
3,
289
1,
877
6
-
1,
870
588 4
-
584
S
elli
and
ad
min
istr
ativ
ng
e e
xpe
nse
s
-2,9
78
11
-
2,9
88
-
2,0
98
-
9
-
2,1
07
-
1,4
94
-
8
-
1,5
02
-
723
-
5
-
728
-
lt fr
R
les
rtie
esu
om
sa
pr
ope
s
3 3 1
-
1
-
Im
irm
los
fixe
d a
ent
ts
pa
ses
sse
,
-2 2
-
5 5
R
lt fr
les
of
Gro
ies
esu
om
sa
up
com
pan
6 6 5 5 5 5
R
lt fr
rtic
ipa
tion
s in
iate
d c
ies
esu
om
pa
as
soc
om
pan
5 5 2 2
Op
tin
rof
it/lo
era
g p
ss
2,
537
18
-
2,
519
1,
202
15
-
1,
187
387 14
-
373 130
-
9
-
139
-
F
ina
nci
al i
nco
me
141 141 96 96 60 60 32 32
F
ina
nci
al e
xpe
nse
-41
5
33 382
-
288
-
25 263
-
171
-
17 154
-
73
-
8 65
-
Net
fin
ial
item
anc
s
-27
4
33 241
-
192
-
25 167
-
111
-
17 95
-
42
-
8 33
-
Pro
fit/
los
fte
r fi
cia
l ite
s a
nan
ms
2,
263
15 2,
277
1,
010
10 1,
020
276 2 278 171
-
1
-
173
-
T
fit/l
for
the
riod
net
ax
on
pro
oss
pe
364
-
4
-
367
-
236
-
3
-
239
-
65
-
1
-
66
-
41 41

Other comprehensive income

Gro
up
201
2
Ch
ang
e
IAS
19R
201
2
Ch
ang
e
IAS
19R
201
2
Ch
ang
e
IAS
19R
201
2
Ch
ang
e
IAS
19R
SE
K M
De
c.
De
c. 2
012
Se
p.
Se
201
2
p.
Ju
n.
Ju
n. 2
012
Ma
r.
Ma
r. 2
012
Pro
fit/
los
s fo
r th
eri
od
e p
1,
899
11 1,
910
773 7 781 210 2 212 131
-
1
-
131
-
Item
hat
ha
s b
be
led
s t
een
or
ma
y
rec
yc
ofi
t/lo
for
eri
to
th
od
pr
ss
e p
E
xch
e d
iffe
nsl
atin
for
eig
tra
ang
ren
ces
on
g
n
atio
o
per
ns
-78 1
-
79
-
142
-
2 140
-
29
-
1 29
-
12
-
12
-
G
ain
/los
n h
edg
ing
of
han
ris
k in
fo
reig
rate
s o
exc
ge-
n
rati
ope
ons
37 37 64 64 16 16 8 8
F
air
val
cha
s fo
r th
erio
d in
sh
flow
he
dge
ue
nge
e p
ca
s
-20 20
-
20
-
20
-
4
-
4
-
2 2
T
ibu
tab
le t
o it
s th
at h
bee
attr
ax
em
as
n o
r m
ay
fit/l
be
led
to
fo
r th
erio
d
rec
yc
pro
oss
e p
7
-
7
-
12
-
12
-
3
-
0 3
-
3
-
3
-
-68 1
-
69
-
110
-
2 108
-
20
-
1 19
-
4
-
0 5
-
Item
hat
be
led
s t
ot
to
ma
y n
rec
yc
rof
it/lo
for
th
eri
od
p
ss
e p
R
lua
tion
of
def
ine
d-b
fit p
ion
lan
eva
ene
ens
p
s
137
-
-13
7
124
-
124
-
157
-
157
-
12 12
T
ibu
tab
le t
o it
s th
be
attr
at m
not
ax
em
ay
led
fit/l
fo
r th
erio
d
to
rec
yc
pro
oss
e p
-27 27
-
35 35 43 43 3
-
3
-
-16
4
164
-
89
-
89
-
113
-
113
-
9 9
Oth
reh
ive
inc
er
co
mp
ens
om
e
-68 165
-
233
-
110
-
88
-
197
-
20
-
113
-
133
-
4
-
9 4
Oth
reh
ive
inc
e fo
r th
eri
od
er
co
mp
ens
om
e p
1,
831
154
-
1,
677
664 80
-
584 191 111
-
80 135
-
8 127
-
Att
rib
ble
uta
to
:
CC
N
's s
har
eho
lde
rs
1,
825
154
-
1,
672
662 80
-
582 190 111
-
79 135
-
8 127
-
N
llin
iter
tro
est
on
con
g
s
5 5 2 2 1 1 0 0
Pro
fit/
los
s fo
r th
eri
od
e p
1,
831
154
-
1,
677
664 80
-
584 191 111
-
80 135
-
8 127
-
Ba
lan
she
et
ce
Grou
p
2012 Cha
nge
IAS1
9R
201
2
Cha
nge
IAS1
9R
201
2
Cha
nge
IAS1
9R
201
2
Cha
nge
IAS1
9R
201
1
Cha
nge
IAS1
9R
SEK
M
GÅN
Dec Dec
. 201
2
Sep Sep
. 201
2
Jun Jun
. 201
2
Mar Mar
. 201
2
Dec Dec
. 201
1
TILL
GAR
Anlä
ggni
ngst
illgå
ngar
Go
odw
ill
1,82
7
1,82
7
1,78
6
1,78
6
1,60
3
1,60
3
1,60
5
1,60
5
1,60
7
1,60
7
Ot
her i
gible
ntan
ets
ass
204 204 185 185 183 183 170 170 167 167
Ow
ied p
rties
ner-o
ccup
rope
662 662 639 639 629 629 615 615 596 596
Ma
chin
nd e
quip
t
ery a
men
2,39
5
2,39
5
2,28
9
2,28
9
2,30
6
2,30
6
2,22
9
2,22
9
2,20
9
2,20
9
Ot
her l
term
hold
ning
s of
rities
ong-
secu
167 167 170 170 193 193 217 217 181 181
Lo
rm in
t-bea
ring
ivab
les
ng-te
teres
rece
149 -22 127 132 -22 111 118 -6 112 119 20 139 142 32 174
Lo
rm in
t-fre
eiva
bles
ng-te
teres
e rec
1,42
9
-1,3
27
103 1,46
1
-1,3
15
145 1,40
7
-1,3
02
105 1,41
2
-1,3
07
104 1,41
7
-1,2
96
121
De
ferre
d tax
ets
ass
281 104 385 151 139 290 141 147 288 161 108 270 191 102 293
Tota
l fixe
d as
sets
7,11
4
-1,2
44
5,87
0
6,81
4
-1,1
98
5,61
6
6,58
0
-1,1
61
5,41
9
6,52
7
-1,1
79
5,34
8
6,51
1
-1,1
62
5,34
8
Curr
ent a
sset
s
Pr
ojec
ty pr
ts
oper
5,32
1
5,32
1
5,32
3
5,32
3
4,95
1
4,95
1
4,55
4
4,55
4
4,47
5
4,47
5
Ho
usin
jects
g pro
11,7
38
11,7
38
12,5
10
12,5
10
11,7
21
11,7
21
11,0
38
11,0
38
9,86
0
9,86
0
Ma
teria
ls an
d inv
ries
ento
655 655 716 716 748 748 737 737 557 557
Ta
eiva
bles
x rec
54 54 179 179 132 132 81 81 23 23
Ac
ceiva
ble
ts re
coun
7,72
5
7,72
5
8,21
0
8,21
0
7,83
5
7,83
5
5,77
8
5,77
8
7,26
5
7,26
5
W
orke
d-up
-invo
iced
, non
reve
nues
782 782 1,31
5
1,31
5
1,25
6
1,25
6
964 964 910 910
Pr
epai
d ex
nd a
ed in
pens
es a
ccru
com
e
1,54
4
1,54
4
1,36
0
1,36
0
1,21
8
1,21
8
1,08
4
1,08
4
1,11
4
1,11
4
Ot
her r
ecei
vabl
es
1,22
3
1,22
3
1,45
3
1,45
3
1,34
0
1,34
0
1,13
3
1,13
3
1,12
7
1,12
7
Sh
ort-t
inve
stme
nts
erm
168 168 115 115 188 188 164 164 285 285
Ca
sh a
nd c
ash
equi
vale
nts
2,63
4
2,63
4
1,10
3
1,10
3
1,12
6
1,12
6
1,26
3
1,26
3
796 796
Tota
l cur
rent
ets
ass
31,8
44
31,8
44
32,2
84
32,2
84
30,5
15
30,5
15
26,7
97
26,7
97
26,4
14
26,4
14
SSE
TS
TOT
AL A
38,9
58
-1,2
44
37,7
13
39,0
98
-1,1
98
37,9
00
37,0
95
-1,1
61
35,9
33
33,3
24
-1,1
79
32,1
45
32,9
24
-1,1
62
31,7
62
EQU
ITY
Sha
reho
dler
s' eq
uity
8,97
4
-1,3
40
7,63
4
7,80
9
-1,2
66
6,54
3
7,33
6
-1,2
97
6,03
9
8,15
1
-1,1
78
6,97
3
8,28
6
-1,1
86
7,10
0
No
ntrol
ling
inter
ests
n-co
15 15 12 12 12 12 11 11 11 11
Tota
l sha
reho
lder
s' eq
uity
8,98
8
-1,3
40
7,64
9
7,82
2
-1,2
66
6,55
6
7,34
8
-1,2
97
6,05
1
8,16
2
-1,1
78
6,98
4
8,29
7
-1,1
86
7,11
1
LIAB
ILITI
ES
Long
liab
ilities
-term
Lo
ng-te
rm in
teres
t-bea
ring
liabi
lities
7,10
2
7,10
2
6,12
5
6,12
5
5,98
1
5,98
1
4,01
5
4,01
5
3,85
0
3,85
0
Ot
her l
term
liab
ilities
ong-
841 841 1,17
2
1,17
2
820 820 821 821 643 643
De
ferre
d tax
liab
ilities
725 -288 436 734 -316 417 604 -319 285 558 -313 245 669 -322 347
Pr
ovis
ions
for p
ensi
ons
9 383 393 11 384 396 9 454 464 9 312 321 6 345 351
Ot
her p
rovis
ions
2,43
5
2,43
5
2,24
9
2,24
9
2,28
2
2,28
2
2,42
3
2,42
3
2,61
9
2,61
9
Tota
l lon
g-te
rm l
iabil
ities
11,1
13
95 11,2
08
10,2
92
68 10,3
60
9,69
6
135 9,83
1
7,82
5
-1 7,82
4
7,78
8
24 7,81
1
Curr
ent l
iabil
ities
Cu
rrent
inte
rest-
bear
ing l
iabil
ities
2,14
1
2,14
1
4,46
9
4,46
9
4,19
8
4,19
8
3,03
5
3,03
5
1,58
5
1,58
5
Ac
yabl
ts pa
coun
e
4,65
9
4,65
9
4,74
1
4,74
1
4,80
5
4,80
5
3,52
6
3,52
6
4,13
1
4,13
1
Ta
x lia
bilitie
s
122 122 48 48 37 37 37 37 60 60
Inv
oice
d rev
t wo
rked
enue
s, no
-up
4,24
1
4,24
1
5,01
2
5,01
2
4,70
9
4,70
9
4,55
0
4,55
0
4,17
6
4,17
6
Ac
d ex
nd d
efer
red i
crue
pens
es a
ncom
e
3,74
8
3,74
8
2,97
6
2,97
6
3,18
1
3,18
1
3,14
8
3,14
8
3,27
4
3,27
4
Pr
ovis
ions
5 5 3 3
Ot
her c
t liab
ilities
urren
3,94
5
3,94
5
3,73
9
0 3,73
9
3,12
0
3,12
0
3,03
6
3,03
6
3,61
1
3,61
1
Tota
l cur
rent
liab
ilitie
s
18,8
55
18,8
55
20,9
85
0 20,9
85
20,0
51
20,0
51
17,3
37
17,3
37
16,8
39
16,8
39
l liab
ilitie
Tota
s
29,9
68
95 30,0
63
31,2
76
68 31,3
44
29,7
47
135 29,8
82
25,1
62
-1 25,1
61
24,6
27
24 24,6
51
TOT
AL S
HAR
EHO
LDE
RS'
EQU
ITY A
ND
LIAB
ILITI
ES
38,9
58
-1,2
44
37,7
13
39,0
98
-1,1
98
37,9
00
37,0
95
-1,1
61
35,9
33
33,3
24
-1,1
79
32,1
45
32,9
24
-1,1
62
31,7
62
ASS
ETS
PLE
DGE
D
1,34
4
1,34
4
1,51
1
1,51
1
1,61
7
1,61
7
1,65
1
1,65
1
1,52
2
1,52
2
CON
IES
TING
ENT
LIA
BLIT
1,44
6
1,44
6
1,30
0
1,30
0
1,79
6
1,79
6
1,70
9
1,70
9
1,35
3
1,35
3
Retu
ity
rn on
equ
23 27
Retu
ital e
mplo
yed
rn on
15 16
cap
Equi
ty/as
set r
atio,
%
23
Net
inde
bted
-6,06
1
20
67
20
24
17
30
20
19
17
79
24
01
22
93
25
60
22
74
ness
Debt
imes
-406 -6,4 -9,0 -406 -9,4 -8,5 -461 -8,9 -5,2 -292 -5,4 -3,9 -313 -4,2
/equ
ity ra
tio, t
0.7 0.8 1.2 1.4 1.2 1.5 0.6 0.8 0.5 0.6

Capital employed at period end 18,241 -956 17,285 18,427 -882 17,545 17,536 -842 16,694 15,220 -866 14,354 13,739 -840 12,898

Specification over equity

Gro
up
201
2
Cha
nge
IAS
19R
201
2
Cha
nge
IAS
19R
201
2
Cha
nge
IAS
19R
201
2
Cha
nge
IAS
19R
201
1
Cha
nge
IAS
19R
SEK
M
Dec De
c. 2
012
Sep Sep
. 20
12
Jun Jun
. 20
12
Ma
r.
Ma
r. 20
12
De
c.
De
c. 2
011
Ope
ning
ba
lanc
of
Jan
y 1s
t
e as
uar
8,2
97
-1,1
86
7,1
11
8,2
97
-1,1
86
7,1
11
8,2
97
-1,1
86
7,1
11
8,2
97
-1,1
86
7,1
11
8,1
32
8,13
2
A
djus
nt fo
r ch
ed a
unti
rinc
iple
tme
ang
cco
ng p
-1,1
86
-1,1
86
T
acti
ibut
able
ollin
attr
to n
ontr
rans
ons
on-c
g
i
nter
ests
-11 -11
O
ther
preh
ive
inco
for t
he p
erio
d
com
ens
me
1,8
31
-15
4
1,6
77
664 -80 584 191 -11
1
80 -13
5
8 -12
7
1,2
57
1,2
57
D
ivide
nd
-1,0
85
-1,0
85
-1,0
85
-1,0
85
-1,0
84
-1,0
84
-1,0
85
-1,0
85
A
isitio
n/sa
le o
f tre
hare
cqu
asu
ry s
s
-56 -56 -56 -56 -56 -56 3 3
P
erfo
bas
ed i
ntiv
rma
nce
nce
e pr
ogra
m
2 2 2 2
Clo
sing
ba
lanc
of
iod
end
e as
per
8,9
88
-1,3
40
7,6
49
7,8
22
-1,2
66
6,5
56
7,3
48
-1,2
97
6,0
51
8,1
62
-1,1
78
6,9
84
8,2
97
-1,1
86
7,1
11

Cash Flow

Group 2012 Change IAS19R 2012 Change IAS19R 2012 Change IAS19R 2012 Change IAS19R
SEK M Dec. Dec. 2012 Sep. Sep. 2012 Jun. Jun. 2012 Mar. Mar. 2012
OPERATING ACTIVITIES
Profit/loss after financial items 2,263 15 2,277 1,010 10 1,020 276 2 278 -171 -1 -173
Adjustments for items not included in cash flow 563 -15 548 271 -10 261 -24 -2 -26 -119 1 -118
Taxes paid -367 -367 -299 -299 -211 -211 -120 -120
Cash flow from operating activities before changes in working capital 2,458 0 2,458 982 0 982 40 0 40 -411 0 -411
Cash flow from changes in working capital
Sales of property projects 1,764 1,764 1,039 1,039 1,027 1,027 743 743
Investments in property projects -2,692 -2,692 -1,978 -1,978 -1,288 -1,288 -630 -630
Sales of housing projects 6,951 6,951 3,351 3,351 2,193 2,193 871 871
Investments in housing projects -8,997 -8,997 -6,321 -6,321 -4,064 -4,064 -1,966 -1,966
Other changes in working capital 489 489 -346 -346 -937 -937 292 292
Cash flow from changes in working capital -2,484 0 -2,484 -4,256 0 -4,256 -3,069 -3,069 -689 -689
Cash flow from operating activities -26 0 -26 -3,274 0 -3,274 -3,028 0 -3,028 -1,099 0 -1,100
INVESTING ACTIVITIES
Sale of building and land 30 30 22 22 4 4 2 2
Increase (-) from investing activities -936 -936 -660 -660 -397 -397 -143 -143
Cash flow from investing activities -906 0 -906 -639 0 -639 -392 0 -392 -141 0 -141
CASH FLOW BEFORE FINANCING -932 0 -932 -3,913 0 -3,913 -3,421 0 -3,421 -1,242 0 -1,242
FINANCING ACTIVITIES
Cash flow from financing activities 2,774 2,774 4,228 4,228 3,752 3,752 1,706 1,706
CASH FLOW DURING THE PERIOD 1,842 0 1,842 315 0 315 331 0 331 464 0 464
Cash and cash equivalents at beginning of period 796 796 796 796 796 796 796 796
Exchange-rate difference in cash and cash equivalents -4 -4 -9 -9 -1 -1 3 3
CASH AND CASH EQUIVALENTS AT END OF PERIOD 2,634 0 2,634 1,103 0 1,103 1,126 0 1,126 1,263 0 1,263

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