Scandi Standard AB (publ)
STO:SCST

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Scandi Standard AB (publ) Logo
Scandi Standard AB (publ)
STO:SCST
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Price: 143.4 SEK -0.97% Market Closed
Market Cap: kr9.5B

Balance Sheet

Balance Sheet Decomposition
Scandi Standard AB (publ)

Balance Sheet
Scandi Standard AB (publ)

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Balance Sheet
Currency: SEK
Dec-2013 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
72
90
143
23
30
89
194
413
350
3
4
109
279
Cash Equivalents
72
90
143
23
30
89
194
413
350
3
4
109
279
Short-Term Investments
1
1
1
0
0
0
0
0
0
0
0
0
0
Total Receivables
399
363
365
488
1 005
968
997
897
903
1 205
1 157
1 171
1 206
Accounts Receivables
371
337
308
400
879
851
902
819
811
1 096
1 045
1 047
1 067
Other Receivables
28
26
57
88
125
117
95
78
92
109
112
124
139
Inventory
624
547
530
603
721
749
826
816
888
1 040
936
831
829
Other Current Assets
97
55
63
73
160
174
88
136
104
198
133
241
239
Total Current Assets
1 193
1 055
1 101
1 187
1 915
1 980
2 105
2 262
2 245
2 446
2 230
2 352
2 553
PP&E Net
798
810
882
1 011
1 245
1 967
2 175
2 272
2 304
2 388
2 331
2 765
2 999
PP&E Gross
798
810
882
1 011
1 245
1 967
2 175
2 272
2 304
2 388
2 331
2 765
0
Accumulated Depreciation
1 316
1 487
1 600
1 840
2 243
2 428
2 935
3 078
3 419
3 911
4 125
4 269
0
Intangible Assets
528
529
490
503
1 017
995
957
878
876
915
933
991
966
Goodwill
590
611
597
704
896
922
940
888
921
971
950
961
913
Note Receivable
1
1
0
0
0
10
9
0
0
0
0
0
0
Long-Term Investments
42
43
42
46
40
46
47
44
49
55
65
63
70
Other Long-Term Assets
97
45
33
47
40
56
39
41
99
190
143
147
145
Other Assets
590
611
597
704
896
922
940
888
921
971
950
961
913
Total Assets
3 249
N/A
3 095
-5%
3 144
+2%
3 497
+11%
5 153
+47%
5 976
+16%
6 272
+5%
6 385
+2%
6 494
+2%
6 965
+7%
6 652
-4%
7 279
+9%
7 646
+5%
Liabilities
Accounts Payable
355
352
353
476
716
901
1 117
1 163
1 291
1 619
1 620
1 532
1 498
Accrued Liabilities
133
113
156
192
306
352
412
378
433
666
703
692
769
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
243
39
61
94
58
76
73
73
68
75
76
64
70
Other Current Liabilities
147
149
165
147
246
266
270
371
239
47
83
125
134
Total Current Liabilities
878
653
734
908
1 326
1 595
1 872
1 985
2 031
2 407
2 482
2 413
2 471
Long-Term Debt
1 769
1 455
1 381
1 428
1 850
2 370
2 306
2 264
2 251
1 928
1 509
1 982
2 238
Deferred Income Tax
139
76
86
109
172
169
174
166
178
211
163
179
169
Minority Interest
0
0
0
0
0
1
3
1
0
2
0
0
0
Other Liabilities
31
26
17
80
351
256
179
94
83
85
101
94
91
Total Liabilities
2 817
N/A
2 209
-22%
2 219
+0%
2 525
+14%
3 699
+46%
4 391
+19%
4 534
+3%
4 510
-1%
4 543
+1%
4 633
+2%
4 255
-8%
4 668
+10%
4 969
+6%
Equity
Common Stock
0
1
1
1
1
1
1
1
1
1
1
1
1
Retained Earnings
73
32
131
226
409
593
845
1 076
1 179
1 331
1 587
1 886
2 418
Other Equity
505
918
793
745
1 045
991
892
798
771
1 000
809
724
258
Total Equity
432
N/A
886
+105%
925
+4%
972
+5%
1 455
+50%
1 585
+9%
1 738
+10%
1 875
+8%
1 951
+4%
2 332
+20%
2 397
+3%
2 611
+9%
2 677
+3%
Total Liabilities & Equity
3 249
N/A
3 095
-5%
3 144
+2%
3 497
+11%
5 153
+47%
5 976
+16%
6 272
+5%
6 385
+2%
6 494
+2%
6 965
+7%
6 652
-4%
7 279
+9%
7 646
+5%
Shares Outstanding
Common Shares Outstanding
50
60
60
60
66
66
66
66
65
65
65
65
66
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