Munters Group AB
STO:MTRS

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Munters Group AB
STO:MTRS
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Price: 164.2 SEK -3.07% Market Closed
Market Cap: kr30.3B

Balance Sheet

Balance Sheet Decomposition
Munters Group AB

Balance Sheet
Munters Group AB

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Balance Sheet
Currency: SEK
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
273
346
432
402
404
722
970
674
914
1 532
1 530
1 492
Cash Equivalents
273
346
432
402
404
722
970
674
914
1 532
1 530
1 492
Total Receivables
777
890
1 229
1 365
1 396
1 202
1 086
1 524
2 272
2 989
3 314
2 388
Accounts Receivables
700
790
1 094
1 204
1 234
1 050
935
1 394
2 020
2 770
2 896
1 912
Other Receivables
77
100
135
161
162
152
151
130
252
219
418
476
Inventory
418
491
660
798
805
772
691
1 072
1 956
1 726
2 283
1 884
Other Current Assets
49
63
96
107
88
293
376
369
686
222
268
963
Total Current Assets
1 517
1 790
2 417
2 672
2 693
2 989
3 123
3 639
5 828
6 469
7 395
6 727
PP&E Net
340
417
530
564
637
1 019
878
972
1 576
1 769
2 789
3 470
PP&E Gross
340
417
530
564
637
1 019
878
972
1 576
1 769
2 789
0
Accumulated Depreciation
998
1 041
1 117
1 071
1 207
1 454
1 422
1 672
1 978
2 154
2 607
0
Intangible Assets
1 629
1 614
1 550
1 456
1 480
1 469
1 356
1 586
2 027
2 259
3 380
3 362
Goodwill
3 536
3 944
4 227
4 251
4 218
4 348
3 952
4 248
5 359
5 822
7 769
5 458
Long-Term Investments
26
27
24
14
11
19
19
20
117
120
243
200
Other Long-Term Assets
220
216
243
241
229
249
246
277
297
292
403
511
Other Assets
3 536
3 944
4 227
4 251
4 218
4 348
3 952
4 248
5 359
5 822
7 769
5 458
Total Assets
7 268
N/A
8 008
+10%
8 991
+12%
9 198
+2%
9 268
+1%
10 093
+9%
9 574
-5%
10 742
+12%
15 204
+42%
16 731
+10%
21 979
+31%
19 728
-10%
Liabilities
Accounts Payable
329
361
530
581
535
556
529
771
1 288
1 294
1 789
1 461
Accrued Liabilities
428
466
565
486
535
653
691
934
901
1 101
1 423
995
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
162
441
429
7
11
126
97
114
135
1 147
2 971
1 109
Other Current Liabilities
670
580
719
769
665
909
982
1 014
2 256
1 795
3 494
3 115
Total Current Liabilities
1 589
1 848
2 243
1 843
1 746
2 244
2 299
2 833
4 580
5 337
9 677
6 680
Long-Term Debt
4 395
4 839
5 232
2 848
3 002
3 371
2 690
2 636
4 361
4 704
4 627
6 810
Deferred Income Tax
565
527
525
394
421
409
371
405
442
455
598
591
Minority Interest
2
8
11
0
4
0
5
3
3
1
14
8
Other Liabilities
194
299
224
365
383
442
463
505
514
977
1 169
781
Total Liabilities
6 745
N/A
7 521
+12%
8 235
+9%
5 450
-34%
5 548
+2%
6 466
+17%
5 828
-10%
6 382
+10%
9 900
+55%
11 474
+16%
16 085
+40%
14 870
-8%
Equity
Common Stock
0
0
0
6
6
6
6
6
6
6
6
0
Retained Earnings
1 887
1 921
1 850
1 691
1 912
2 125
1 745
1 401
943
715
527
0
Other Equity
2 410
2 408
2 606
5 433
5 626
5 746
5 485
5 755
6 241
5 966
6 415
4 858
Total Equity
523
N/A
487
-7%
756
+55%
3 748
+396%
3 720
-1%
3 627
-3%
3 746
+3%
4 360
+16%
5 304
+22%
5 257
-1%
5 894
+12%
4 858
-18%
Total Liabilities & Equity
7 268
N/A
8 008
+10%
8 991
+12%
9 198
+2%
9 268
+1%
10 093
+9%
9 574
-5%
10 742
+12%
15 204
+42%
16 731
+10%
21 979
+31%
19 728
-10%
Shares Outstanding
Common Shares Outstanding
184
184
184
184
182
182
182
182
182
183
183
183
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