
Financial Overview
Income sheet
| SEK thousands |
| Continuing operations |
|---|
| Revenue |
| Cost of goods sold |
| Gross profit |
| Selling expenses |
| Administrative expenses |
| R&D expenses |
| Operating profit |
| Financial income |
| Financial expense |
| Net financial items |
| Profit before tax |
| Tax |
| Net profit for the year |
| Earnings per share |
| Before dilution (SEK) |
| After dilution (SEK) |
| 2007 | 2006 |
| 2 663 642 | 1 744 080 |
| –2 027 619 | –1 263 783 |
| 636 023 | 480 297 |
| –310 459 | –200 110 |
| –102 567 | –72 041 |
| –28 164 | –18 080 |
| 194 833 | 190 066 |
| 31 790 | 8 534 |
| –17 667 | –400 |
| 14 123 | 8 134 |
| 208 956 | 198 200 |
| –56 609 | –57 814 |
| 152 347 | 140 386 |
| 05:42 | 05:13 |
| 05:34 | 0,23125 |
The entire profit is attributable to the shareholders in the Parent Company.
Balance sheet
| SEK thousands |
| Assets |
|---|
| Intangible fixed assets |
| Tangible fixed assets |
| Equipment tools, fixtures and fittings |
| Financial investments |
| Deferred tax receivables |
| Total fixed assets |
| Accounts receivable – trade |
| Prepaid expenses and accrued income |
| Other receivables |
| Current investments |
| Cash and cash equivalents |
| Total current assets |
| Total assets |
| Shareholders’ equity and liabilities |
| Share capital |
| Paid-up, non-registered share capital |
| Other capital contributions |
| Reserves |
| Retained profit incl. net profit for the year |
| Shareholders’ equity attributable to Parent Company shareholders |
| Total shareholders’ equity |
| Liabilities |
| Other provisions |
| Deferred tax liabilities |
| Total long-term liabilities |
| Current interest-bearing liabilities |
| Accounts payable |
| Publisher payable |
| Tax liabilities |
| Other liabilities |
| Accrued expenses and deferred income |
| Provisions |
| Total current liabilities |
| Total liabilities |
| Total shareholders’ equity and liabilities |
| 31 Dec. 2007 | 31 Dec. 2006 |
| 730 667 | 12 715 |
| 24 918 | 11 558 |
| 803 | 803 |
| 49 455 | 2 263 |
| 805 843 | 27 339 |
| 685 749 | 417 514 |
| 15 357 | 6 453 |
| 28 406 | 30 316 |
| 477 485 | |
| 224 157 | 433 082 |
| 1 431 154 | 887 365 |
| 2 236 997 | 914 704 |
| 11 372 | 11 158 |
| 61 | |
| 103 609 | 96 854 |
| –40 535 | –6 968 |
| 286 801 | 247 921 |
| 361 308 | 348 965 |
| 361 308 | 348 965 |
| 1 121 | |
| 33 227 | 3 562 |
| 34 348 | 3 562 |
| 964 707 | |
| 257 913 | 12 662 |
| 311 660 | 270 374 |
| 48 100 | 26 325 |
| 209 703 | 196 949 |
| 49 258 | 45 367 |
| 10 500 | |
| 1 841 341 | 562 177 |
| 1 875 689 | 565 739 |
| 2 236 997 | 914 704 |
