Finansiell information

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Finansiell information

Femårsprognos

Sales and profit

MSEK      2010      2009       2008     2007     2006
Sales 5,230 5,299 6,065 6,639     6,743
Cashflow from operating activities 262 399 145 414     117
Return on capital employed, % 11.8 6.4 15.6 18.7 1) 16.8
Profit after financial items 192 110 284 511     232

1) Excl. effect of capital gains.

Sales and operating profit per business group

MSEK Sales 2010 Sales 2009 Change in % Operating profit 2010 Operating profit 2009 Change in %
AxLoad 2,166 2,224 - 3 106 85 25
AxFlow 1,134 1,177 - 4 50 38 32
AxIndustries 1,487 1,354 10 86 43 99
AxImage 443 477 -7 -11 -17 28
Divestment - 67 - - 4 -
Parent company and others - - - -9 -7 -40
Amortisation on goodwill - - - -10 -10 -
Total 5,230 5,299 -1 212 136 55