Saab Financial Data

Here, you can find key financial data and Saab’s financial objectives. You can also download financials to Microsoft Excel.

Key Figures
MSEK2018201720162015201420132012201120102009
Order bookings27.97530.84121.82881.17522.60249.80920.68318.90726.27818.428
Order backlog at year-end102.184107.233107.606113.83460.12859.87034.15137.17241.45939.389
Sales33.15631.66628.63127.18623.52723.75024.01023.49824.43424.647
Foreign market sales, %59585758555964636269
Defence sales, %85848382798182848383
Operating income (EBIT)2.2662.2501.7971.9001.6591.3452.0502.9419751.374
Operating margin, %77677691346
Operating income before depreciation/amortisation and write-downs (EBITDA)3.1823.0892.7432.8592.5232.3673.1684.0882.1872.598
EBITDA margin, %1010101111101317911
Income after financial items1.7962.0991.6111.7311.5239792.0032.783776976
Net income for the year1.3661.5081.1751.4021.1687421.5602.217454699
Net income attributable to Parent
Company's shareholders
1.3131.4771.1331.3621.1537411.5852.225433686
Total assets56.12844.99841.21135.08829.55627.78928.93831.79929.27830.430
- of which total equity19.63314.28513.30112.91211.37312.22711.28013.06911.44410.682
- of which equity attributable to Parent Company's shareholders19.41214.09713.15612.85111.29112.13611.16812.95011.27410.542
Equity per share, SEK ¹⁾14512211411299105971149992
Net liquidity/debt excluding interest-bearing receivables and net provisions for pensions2.19034428-1.8801851.9533.8374.7352.382-1.631
Net liquidity/debt-1.460-1.834-1.836-3.217-2.1138131.9965.3333.291-634
Cash flow from operating activities-4903.1644.154358-713-6623502.3924.4871.696
Free cash flow-3.1958522.359-726-1.094-1.460-3962.4774.3491.447
Average capital employed28.15122.49521.13518.45415.89715.45415.13113.98713.74313.775
Return on capital employed, %9119111191522810
Return on equity, %811912106131847
Profit margin, %77787691346
Capital turnover rate, multiple1111122222
Equity/assets ratio, %35323237394439413935
Interest coverage ratio, multiple897673111033
Earnings per share before dilution, SEK ²⁾ ⁵⁾11131012106142046
Earnings per share after dilution, SEK ³⁾ ⁵⁾11131012106131946
Dividend, SEK4,5⁴⁾5,505.255555542
Gross capital expenditures for tangible fixed assets-1.4811.093807799732543328325262197
Research and development costs7.5627.3487.4216.8415.9706.5435.9465.1165.0084.820
Number of employees at year-end17.09616.42715.46514.68514.71614.14013.96813.06812.53613.159
¹⁾ Number of shares, excluding treasury shares, as of 31 December 133.482.880115.685.451115.232.495114.746.834114.251.832115.241.831114.718.422114.069.871113.404.688114.263.900
²⁾ Average number of shares 116.467.822115.444.915114.971.098114.484.478114.929.422114.928.817114.395.790113.691.223113.946.228115.156.720
³⁾ Average number of shares117.144.915116.310.466115.775.275115.280.946115.785.595118.205.015118.205.015118.205.015118.205.015118.205.015
⁴⁾ Board of Directors' proposal.
⁵⁾ Net income less non-controlling interest divided by average number of shares.