US Stock MarketDetailed Quotes

INJJF INTRUM AB

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  • 2.250
  • 0.0000.00%
15min DelayClose Nov 15 16:00 ET
271.35MMarket Cap-1.15P/E (TTM)

INTRUM AB Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-1.50%3.41B
285.83%9.42B
24.02%4.61B
5.45%3.62B
5.45%3.62B
-23.87%3.46B
-50.21%2.44B
-25.40%3.71B
-24.67%3.43B
-24.67%3.43B
-Cash and cash equivalents
-1.50%3.41B
285.83%9.42B
24.02%4.61B
5.45%3.62B
5.45%3.62B
-23.87%3.46B
-50.21%2.44B
-25.40%3.71B
-24.67%3.43B
-24.67%3.43B
-Accounts receivable
--4.67B
342.50%4.39B
276.56%4.05B
29.44%1.4B
29.44%1.4B
----
-19.73%993M
10.26%1.08B
-74.03%1.08B
-74.03%1.08B
-Taxes receivable
94.97%1.05B
61.51%814M
137.17%804M
78.54%932M
78.54%932M
113.10%537M
270.59%504M
114.56%339M
207.06%522M
207.06%522M
-Other receivables
----
----
-95.20%137M
-20.19%2.23B
-20.19%2.23B
10.33%4.13B
4.63%3.35B
-5.78%2.85B
--2.8B
--2.8B
Inventory
-17.68%298M
-14.09%317M
0.59%342M
8.94%329M
8.94%329M
22.30%362M
19.03%369M
2.72%340M
-4.13%302M
-4.13%302M
Prepaid assets
----
----
----
1.15%438M
1.15%438M
----
----
----
--433M
--433M
Restricted cash
----
----
----
245.45%152M
245.45%152M
----
----
----
--44M
--44M
Other current assets
14.07%1.22B
12.07%1.3B
7.31%1.16B
-2.12%1.11B
-2.12%1.11B
7.30%1.07B
19.34%1.16B
12.02%1.08B
6.30%1.13B
6.30%1.13B
Total current assets
4.15%10.71B
75.28%16.33B
133.55%21.96B
10.34%11.03B
10.34%11.03B
-5.74%10.29B
-13.36%9.32B
-9.90%9.4B
-3.60%9.99B
-3.60%9.99B
Non current assets
Net PPE
-12.10%814M
-10.34%884M
-2.63%888M
-4.00%864M
-4.00%864M
2.89%926M
8.71%986M
-1.51%912M
-7.60%900M
-7.60%900M
-Gross PPE
-12.10%814M
-10.34%884M
-2.63%888M
4.67%2.4B
4.67%2.4B
2.89%926M
8.71%986M
-1.51%912M
135.01%2.29B
135.01%2.29B
-Accumulated depreciation
----
----
----
-10.30%-1.53B
-10.30%-1.53B
----
----
----
---1.39B
---1.39B
Goodwill and other intangible assets
-3.39%39.27B
-0.96%40.35B
4.17%40.58B
1.98%39.83B
1.98%39.83B
4.95%40.65B
4.89%40.74B
2.31%38.96B
3.29%39.05B
3.29%39.05B
-Goodwill
----
----
----
1.14%35.54B
1.14%35.54B
----
8.56%36.97B
6.01%35.21B
--35.14B
--35.14B
-Other intangible assets
----
----
----
9.59%4.29B
9.59%4.29B
----
-21.26%3.77B
-22.98%3.74B
--3.91B
--3.91B
Non current prepaid assets
----
----
----
14.29%16M
14.29%16M
----
----
----
--14M
--14M
Total non current assets
-17.26%68.23B
-17.39%69.45B
-11.72%70.04B
0.59%79.18B
0.59%79.18B
2.00%82.46B
1.18%84.07B
-0.32%79.33B
0.23%78.72B
0.23%78.72B
Total assets
-14.88%78.94B
-8.14%85.79B
3.67%91.99B
1.69%90.21B
1.69%90.21B
1.08%92.75B
-0.49%93.39B
-1.43%88.74B
-0.22%88.71B
-0.22%88.71B
Liabilities
Current liabilities
Payables
6.33%6.85B
212.21%6.49B
195.41%6.69B
2.51%2.86B
2.51%2.86B
220.61%6.44B
-19.47%2.08B
-9.48%2.26B
-68.17%2.79B
-68.17%2.79B
-accounts payable
7.73%6.44B
1,632.19%6.08B
986.46%6.02B
-24.55%332M
-24.55%332M
1,374.81%5.97B
-19.50%351M
40.97%554M
-93.25%440M
-93.25%440M
-Total tax payable
-11.54%414M
-27.24%414M
-25.60%468M
-13.98%572M
-13.98%572M
-22.52%468M
-51.57%569M
-44.97%629M
-44.49%665M
-44.49%665M
-Other payable
----
----
-81.41%201M
16.05%1.96B
16.05%1.96B
----
19.34%1.16B
12.02%1.08B
58.80%1.69B
58.80%1.69B
Current provisions
-63.24%236M
1,900.00%220M
4,742.86%339M
4,600.00%376M
4,600.00%376M
6,320.00%642M
57.14%11M
-22.22%7M
-20.00%8M
-20.00%8M
Current debt and capital lease obligation
105.83%14.34B
74.85%7.98B
35.24%8.97B
34.89%8.15B
34.89%8.15B
3.89%6.97B
49.74%4.56B
53.27%6.64B
21.48%6.04B
21.48%6.04B
-Current debt
110.05%14.17B
80.31%7.79B
37.33%8.78B
36.91%7.95B
36.91%7.95B
4.22%6.75B
53.32%4.32B
55.57%6.39B
22.35%5.81B
22.35%5.81B
-Current capital lease obligation
-21.97%174M
-22.73%187M
-20.33%192M
-16.09%193M
-16.09%193M
-5.11%223M
5.68%242M
10.05%241M
3.14%230M
3.14%230M
Other current liabilities
14.07%1.22B
-13.85%1.3B
3.57%1.16B
-23.39%1.51B
-23.39%1.51B
-58.67%1.07B
-26.17%1.51B
-56.62%1.12B
--1.97B
--1.97B
Current liabilities
45.25%22.81B
26.36%16.21B
27.83%17.4B
15.06%16.64B
15.06%16.64B
1.13%15.7B
8.21%12.83B
1.38%13.61B
3.85%14.47B
3.85%14.47B
Non current liabilities
Long term provisions
373.53%161M
420.00%130M
428.00%132M
245.16%107M
245.16%107M
-42.37%34M
-54.55%25M
-39.02%25M
-93.51%31M
-93.51%31M
Long term debt and capital lease obligation
-30.47%38.06B
-12.46%50.04B
1.48%52.88B
2.23%52.34B
2.23%52.34B
7.99%54.75B
4.95%57.16B
6.62%52.11B
5.91%51.19B
5.91%51.19B
-Long term debt
-30.64%37.63B
-12.46%49.57B
1.51%52.42B
2.35%51.9B
2.35%51.9B
8.11%54.26B
4.97%56.62B
6.85%51.64B
6.19%50.71B
6.19%50.71B
-Long term capital lease obligation
-11.13%431M
-12.38%467M
-2.35%457M
-9.54%436M
-9.54%436M
-4.34%485M
2.70%533M
-13.81%468M
-17.18%482M
-17.18%482M
Other non current liabilities
----
-100.52%-2M
-100.76%-3M
4,883.33%299M
4,883.33%299M
-99.60%2M
-9.15%387M
-8.60%393M
-86.05%6M
-86.05%6M
Total non current liabilities
-28.46%40.45B
-8.01%54.27B
2.26%55.17B
3.00%54.64B
3.00%54.64B
7.45%56.54B
4.53%59B
6.24%53.95B
5.48%53.05B
5.48%53.05B
Total liabilities
-12.44%63.25B
-1.88%70.49B
7.41%72.56B
5.58%71.28B
5.58%71.28B
6.01%72.24B
5.17%71.83B
5.23%67.55B
5.13%67.51B
5.13%67.51B
Shareholders'equity
Share capital
0.00%3M
--3M
--3M
0.00%3M
0.00%3M
--3M
----
----
0.00%3M
0.00%3M
-common stock
0.00%3M
--3M
--3M
0.00%3M
0.00%3M
--3M
----
----
0.00%3M
0.00%3M
Retained earnings
-569.57%-7.06B
---8.27B
---1.74B
-37.04%-6.67B
-37.04%-6.67B
---1.06B
----
----
-626.27%-4.87B
-626.27%-4.87B
Paid-in capital
----
--17.44B
----
0.00%17.44B
0.00%17.44B
----
----
----
0.00%17.44B
0.00%17.44B
Other equity interest
0.00%-1M
---7M
---1M
----
----
---1M
----
----
---1M
---1M
Total stockholders'equity
-24.80%13.79B
-31.10%13.36B
-7.67%17.2B
-9.64%16.75B
-9.64%16.75B
-11.77%18.34B
-13.71%19.39B
-18.08%18.63B
-14.56%18.54B
-14.56%18.54B
Noncontrolling interests
-12.52%1.9B
-10.33%1.94B
-12.50%2.23B
-18.15%2.18B
-18.15%2.18B
-23.30%2.17B
-29.59%2.17B
-17.26%2.55B
-10.97%2.66B
-10.97%2.66B
Total equity
-23.50%15.69B
-29.02%15.3B
-8.26%19.43B
-10.71%18.93B
-10.71%18.93B
-13.15%20.51B
-15.62%21.55B
-17.98%21.18B
-14.12%21.2B
-14.12%21.2B
Currency Unit
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -1.50%3.41B285.83%9.42B24.02%4.61B5.45%3.62B5.45%3.62B-23.87%3.46B-50.21%2.44B-25.40%3.71B-24.67%3.43B-24.67%3.43B
-Cash and cash equivalents -1.50%3.41B285.83%9.42B24.02%4.61B5.45%3.62B5.45%3.62B-23.87%3.46B-50.21%2.44B-25.40%3.71B-24.67%3.43B-24.67%3.43B
-Accounts receivable --4.67B342.50%4.39B276.56%4.05B29.44%1.4B29.44%1.4B-----19.73%993M10.26%1.08B-74.03%1.08B-74.03%1.08B
-Taxes receivable 94.97%1.05B61.51%814M137.17%804M78.54%932M78.54%932M113.10%537M270.59%504M114.56%339M207.06%522M207.06%522M
-Other receivables ---------95.20%137M-20.19%2.23B-20.19%2.23B10.33%4.13B4.63%3.35B-5.78%2.85B--2.8B--2.8B
Inventory -17.68%298M-14.09%317M0.59%342M8.94%329M8.94%329M22.30%362M19.03%369M2.72%340M-4.13%302M-4.13%302M
Prepaid assets ------------1.15%438M1.15%438M--------------433M--433M
Restricted cash ------------245.45%152M245.45%152M--------------44M--44M
Other current assets 14.07%1.22B12.07%1.3B7.31%1.16B-2.12%1.11B-2.12%1.11B7.30%1.07B19.34%1.16B12.02%1.08B6.30%1.13B6.30%1.13B
Total current assets 4.15%10.71B75.28%16.33B133.55%21.96B10.34%11.03B10.34%11.03B-5.74%10.29B-13.36%9.32B-9.90%9.4B-3.60%9.99B-3.60%9.99B
Non current assets
Net PPE -12.10%814M-10.34%884M-2.63%888M-4.00%864M-4.00%864M2.89%926M8.71%986M-1.51%912M-7.60%900M-7.60%900M
-Gross PPE -12.10%814M-10.34%884M-2.63%888M4.67%2.4B4.67%2.4B2.89%926M8.71%986M-1.51%912M135.01%2.29B135.01%2.29B
-Accumulated depreciation -------------10.30%-1.53B-10.30%-1.53B---------------1.39B---1.39B
Goodwill and other intangible assets -3.39%39.27B-0.96%40.35B4.17%40.58B1.98%39.83B1.98%39.83B4.95%40.65B4.89%40.74B2.31%38.96B3.29%39.05B3.29%39.05B
-Goodwill ------------1.14%35.54B1.14%35.54B----8.56%36.97B6.01%35.21B--35.14B--35.14B
-Other intangible assets ------------9.59%4.29B9.59%4.29B-----21.26%3.77B-22.98%3.74B--3.91B--3.91B
Non current prepaid assets ------------14.29%16M14.29%16M--------------14M--14M
Total non current assets -17.26%68.23B-17.39%69.45B-11.72%70.04B0.59%79.18B0.59%79.18B2.00%82.46B1.18%84.07B-0.32%79.33B0.23%78.72B0.23%78.72B
Total assets -14.88%78.94B-8.14%85.79B3.67%91.99B1.69%90.21B1.69%90.21B1.08%92.75B-0.49%93.39B-1.43%88.74B-0.22%88.71B-0.22%88.71B
Liabilities
Current liabilities
Payables 6.33%6.85B212.21%6.49B195.41%6.69B2.51%2.86B2.51%2.86B220.61%6.44B-19.47%2.08B-9.48%2.26B-68.17%2.79B-68.17%2.79B
-accounts payable 7.73%6.44B1,632.19%6.08B986.46%6.02B-24.55%332M-24.55%332M1,374.81%5.97B-19.50%351M40.97%554M-93.25%440M-93.25%440M
-Total tax payable -11.54%414M-27.24%414M-25.60%468M-13.98%572M-13.98%572M-22.52%468M-51.57%569M-44.97%629M-44.49%665M-44.49%665M
-Other payable ---------81.41%201M16.05%1.96B16.05%1.96B----19.34%1.16B12.02%1.08B58.80%1.69B58.80%1.69B
Current provisions -63.24%236M1,900.00%220M4,742.86%339M4,600.00%376M4,600.00%376M6,320.00%642M57.14%11M-22.22%7M-20.00%8M-20.00%8M
Current debt and capital lease obligation 105.83%14.34B74.85%7.98B35.24%8.97B34.89%8.15B34.89%8.15B3.89%6.97B49.74%4.56B53.27%6.64B21.48%6.04B21.48%6.04B
-Current debt 110.05%14.17B80.31%7.79B37.33%8.78B36.91%7.95B36.91%7.95B4.22%6.75B53.32%4.32B55.57%6.39B22.35%5.81B22.35%5.81B
-Current capital lease obligation -21.97%174M-22.73%187M-20.33%192M-16.09%193M-16.09%193M-5.11%223M5.68%242M10.05%241M3.14%230M3.14%230M
Other current liabilities 14.07%1.22B-13.85%1.3B3.57%1.16B-23.39%1.51B-23.39%1.51B-58.67%1.07B-26.17%1.51B-56.62%1.12B--1.97B--1.97B
Current liabilities 45.25%22.81B26.36%16.21B27.83%17.4B15.06%16.64B15.06%16.64B1.13%15.7B8.21%12.83B1.38%13.61B3.85%14.47B3.85%14.47B
Non current liabilities
Long term provisions 373.53%161M420.00%130M428.00%132M245.16%107M245.16%107M-42.37%34M-54.55%25M-39.02%25M-93.51%31M-93.51%31M
Long term debt and capital lease obligation -30.47%38.06B-12.46%50.04B1.48%52.88B2.23%52.34B2.23%52.34B7.99%54.75B4.95%57.16B6.62%52.11B5.91%51.19B5.91%51.19B
-Long term debt -30.64%37.63B-12.46%49.57B1.51%52.42B2.35%51.9B2.35%51.9B8.11%54.26B4.97%56.62B6.85%51.64B6.19%50.71B6.19%50.71B
-Long term capital lease obligation -11.13%431M-12.38%467M-2.35%457M-9.54%436M-9.54%436M-4.34%485M2.70%533M-13.81%468M-17.18%482M-17.18%482M
Other non current liabilities -----100.52%-2M-100.76%-3M4,883.33%299M4,883.33%299M-99.60%2M-9.15%387M-8.60%393M-86.05%6M-86.05%6M
Total non current liabilities -28.46%40.45B-8.01%54.27B2.26%55.17B3.00%54.64B3.00%54.64B7.45%56.54B4.53%59B6.24%53.95B5.48%53.05B5.48%53.05B
Total liabilities -12.44%63.25B-1.88%70.49B7.41%72.56B5.58%71.28B5.58%71.28B6.01%72.24B5.17%71.83B5.23%67.55B5.13%67.51B5.13%67.51B
Shareholders'equity
Share capital 0.00%3M--3M--3M0.00%3M0.00%3M--3M--------0.00%3M0.00%3M
-common stock 0.00%3M--3M--3M0.00%3M0.00%3M--3M--------0.00%3M0.00%3M
Retained earnings -569.57%-7.06B---8.27B---1.74B-37.04%-6.67B-37.04%-6.67B---1.06B---------626.27%-4.87B-626.27%-4.87B
Paid-in capital ------17.44B----0.00%17.44B0.00%17.44B------------0.00%17.44B0.00%17.44B
Other equity interest 0.00%-1M---7M---1M-----------1M-----------1M---1M
Total stockholders'equity -24.80%13.79B-31.10%13.36B-7.67%17.2B-9.64%16.75B-9.64%16.75B-11.77%18.34B-13.71%19.39B-18.08%18.63B-14.56%18.54B-14.56%18.54B
Noncontrolling interests -12.52%1.9B-10.33%1.94B-12.50%2.23B-18.15%2.18B-18.15%2.18B-23.30%2.17B-29.59%2.17B-17.26%2.55B-10.97%2.66B-10.97%2.66B
Total equity -23.50%15.69B-29.02%15.3B-8.26%19.43B-10.71%18.93B-10.71%18.93B-13.15%20.51B-15.62%21.55B-17.98%21.18B-14.12%21.2B-14.12%21.2B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK
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