US Stock MarketDetailed Quotes

SVNLF SVENSKA HANDELSBANKEN AB

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  • 10.256
  • +0.160+1.58%
15min DelayClose Dec 20 16:00 ET
20.31BMarket Cap8.04P/E (TTM)

SVENSKA HANDELSBANKEN 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
Cash cash equivalents and federal funds sold
16.68%884.55B
2.21%828.59B
19.21%850.15B
13.17%708.61B
13.17%708.61B
2.67%758.09B
11.90%810.63B
11.48%713.13B
49.45%626.17B
49.45%626.17B
-Cash and cash equivalents
24.30%607.44B
14.98%585.07B
27.46%584.08B
0.41%482.45B
0.41%482.45B
-14.56%488.68B
-12.35%508.84B
-6.01%458.23B
64.07%480.47B
64.07%480.47B
-Money market investments
11.95%42.06B
1.75%37.2B
68.17%35.55B
109.24%27.03B
109.24%27.03B
3.52%37.57B
23.82%36.56B
-29.85%21.14B
-49.89%12.92B
-49.89%12.92B
-Restricted cash and investments
1.39%235.05B
-22.21%206.32B
-1.38%230.52B
49.97%199.13B
49.97%199.13B
78.20%231.84B
131.98%265.24B
91.61%233.75B
32.28%132.78B
32.28%132.78B
Receivables
----
----
----
2.61%1.22B
2.61%1.22B
----
----
----
-24.10%1.19B
-24.10%1.19B
Prepaid assets
14.48%2.89B
15.67%3.3B
12.19%3.7B
40.66%1.11B
40.66%1.11B
6.76%2.53B
5.59%2.85B
3.10%3.3B
7.61%792M
7.61%792M
Net loan
-1.63%2.28T
-1.99%2.29T
-0.92%2.29T
-1.22%2.28T
-1.22%2.28T
2.26%2.32T
4.01%2.34T
4.30%2.31T
7.10%2.31T
7.10%2.31T
-Allowance for loans and lease losses
-24.31%1.88B
-18.71%2.09B
-7.43%2.32B
-0.74%2B
-0.74%2B
-6.13%2.48B
-4.85%2.57B
-6.81%2.5B
-17.47%2.02B
-17.47%2.02B
-Available for sale securities
--14.42B
--13.86B
--13.4B
10.48%601M
10.48%601M
----
----
----
19.82%544M
19.82%544M
Long term equity investment
31.93%847M
24.42%754M
22.67%725M
17.11%657M
17.11%657M
16.09%642M
13.91%606M
19.15%591M
17.36%561M
17.36%561M
Derivative assets
-16.98%25.55B
-45.96%21.99B
21.67%29.76B
4.11%20.45B
4.11%20.45B
-49.59%30.78B
1.91%40.68B
53.65%24.46B
-26.17%19.65B
-26.17%19.65B
Net PPE
0.61%4.79B
2.55%4.91B
3.87%4.97B
-2.83%4.78B
-2.83%4.78B
2.98%4.76B
0.42%4.79B
-4.59%4.79B
-6.79%4.91B
-6.79%4.91B
-Gross PPE
----
----
----
-1.32%6.68B
-1.32%6.68B
----
----
----
-4.41%6.77B
-4.41%6.77B
-Accumulated depreciation
----
----
----
-2.70%-1.9B
-2.70%-1.9B
----
----
----
-2.55%-1.85B
-2.55%-1.85B
Assets held for sale
-25.47%142.18B
-19.32%162.55B
-9.74%174.37B
-6.94%178.59B
-6.94%178.59B
-46.18%190.76B
-43.15%201.48B
-43.71%193.18B
-54.46%191.92B
-54.46%191.92B
Goodwill and other intangible assets
-0.63%8.48B
0.42%8.59B
2.10%8.6B
1.96%8.57B
1.96%8.57B
3.41%8.53B
2.84%8.55B
1.36%8.43B
1.20%8.4B
1.20%8.4B
-Goodwill
-0.93%4.35B
-0.41%4.37B
0.25%4.37B
-0.93%4.36B
-0.93%4.36B
0.55%4.39B
0.32%4.39B
-0.66%4.36B
0.92%4.4B
0.92%4.4B
-Other intangible assets
-0.31%4.13B
1.30%4.22B
4.08%4.24B
5.14%4.21B
5.14%4.21B
6.62%4.14B
5.63%4.16B
3.62%4.07B
1.52%4.01B
1.52%4.01B
Defined pension benefit
-23.24%12.34B
-11.33%12.83B
6.93%13.91B
-9.13%11.7B
-9.13%11.7B
17.72%16.08B
7.07%14.47B
21.37%13.01B
46.87%12.88B
46.87%12.88B
Other assets
-51.37%11.63B
72.30%21.4B
-44.90%22.57B
-30.27%10.25B
-30.27%10.25B
316.42%23.92B
-50.81%12.42B
132.14%40.96B
155.02%14.7B
155.02%14.7B
Total assets
2.09%3.76T
-0.74%3.73T
4.28%3.76T
2.43%3.54T
2.43%3.54T
-1.32%3.68T
1.80%3.76T
1.58%3.6T
3.20%3.45T
3.20%3.45T
Liabilities
Total deposits
1.12%1.52T
-3.24%1.52T
-0.72%1.52T
-12.21%1.11T
-12.21%1.11T
-4.42%1.5T
1.02%1.57T
3.66%1.53T
-4.55%1.26T
-4.55%1.26T
Payables
-7.37%1.73B
-8.14%1.21B
14.65%1.03B
458.06%1.21B
458.06%1.21B
15.48%1.87B
29.33%1.31B
64.34%894M
100.93%217M
100.93%217M
-Total tax payable
-7.37%1.73B
-8.14%1.21B
14.65%1.03B
458.06%1.21B
458.06%1.21B
15.48%1.87B
29.33%1.31B
64.34%894M
100.93%217M
100.93%217M
Long term debt and capital lease obligation
1.99%1.63T
0.73%1.61T
8.57%1.64T
11.51%1.85T
11.51%1.85T
3.50%1.6T
5.01%1.6T
4.45%1.51T
15.43%1.66T
15.43%1.66T
Derivative product liabilities
11.89%22.98B
-28.00%16.06B
-23.97%18.35B
17.90%34.24B
17.90%34.24B
-23.77%20.53B
2.41%22.31B
21.80%24.14B
110.68%29.04B
110.68%29.04B
Other liabilities
3.43%19.55B
-7.96%17.74B
-20.61%20.2B
62.40%11.9B
62.40%11.9B
-22.05%18.9B
-34.09%19.27B
-25.13%25.44B
-6.12%7.33B
-6.12%7.33B
Total liabilities
2.28%3.55T
-0.75%3.53T
4.38%3.57T
2.24%3.33T
2.24%3.33T
-1.73%3.48T
1.59%3.56T
1.48%3.42T
2.99%3.26T
2.99%3.26T
Shareholders'equity
Share capital
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
-common stock
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
0.00%3.07B
Paid-in capital
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
0.00%8.76B
Retained earnings
1.37%172.12B
2.09%164.91B
2.23%157.87B
8.26%177.01B
8.26%177.01B
5.90%169.8B
4.58%161.54B
3.11%154.44B
6.15%163.51B
6.15%163.51B
Total stockholders'equity
-1.31%201.07B
-0.64%195.03B
2.54%189.56B
5.70%205.08B
5.70%205.08B
6.12%203.74B
5.72%196.29B
3.50%184.87B
6.78%194.02B
6.78%194.02B
Non controlling interests
0.00%3M
0.00%2M
125.00%9M
166.67%8M
166.67%8M
-76.92%3M
-83.33%2M
-85.19%4M
-88.00%3M
-88.00%3M
Total equity
-1.31%201.07B
-0.64%195.04B
2.54%189.57B
5.70%205.09B
5.70%205.09B
6.12%203.75B
5.71%196.29B
3.48%184.88B
6.76%194.02B
6.76%194.02B
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
Cash cash equivalents and federal funds sold 16.68%884.55B2.21%828.59B19.21%850.15B13.17%708.61B13.17%708.61B2.67%758.09B11.90%810.63B11.48%713.13B49.45%626.17B49.45%626.17B
-Cash and cash equivalents 24.30%607.44B14.98%585.07B27.46%584.08B0.41%482.45B0.41%482.45B-14.56%488.68B-12.35%508.84B-6.01%458.23B64.07%480.47B64.07%480.47B
-Money market investments 11.95%42.06B1.75%37.2B68.17%35.55B109.24%27.03B109.24%27.03B3.52%37.57B23.82%36.56B-29.85%21.14B-49.89%12.92B-49.89%12.92B
-Restricted cash and investments 1.39%235.05B-22.21%206.32B-1.38%230.52B49.97%199.13B49.97%199.13B78.20%231.84B131.98%265.24B91.61%233.75B32.28%132.78B32.28%132.78B
Receivables ------------2.61%1.22B2.61%1.22B-------------24.10%1.19B-24.10%1.19B
Prepaid assets 14.48%2.89B15.67%3.3B12.19%3.7B40.66%1.11B40.66%1.11B6.76%2.53B5.59%2.85B3.10%3.3B7.61%792M7.61%792M
Net loan -1.63%2.28T-1.99%2.29T-0.92%2.29T-1.22%2.28T-1.22%2.28T2.26%2.32T4.01%2.34T4.30%2.31T7.10%2.31T7.10%2.31T
-Allowance for loans and lease losses -24.31%1.88B-18.71%2.09B-7.43%2.32B-0.74%2B-0.74%2B-6.13%2.48B-4.85%2.57B-6.81%2.5B-17.47%2.02B-17.47%2.02B
-Available for sale securities --14.42B--13.86B--13.4B10.48%601M10.48%601M------------19.82%544M19.82%544M
Long term equity investment 31.93%847M24.42%754M22.67%725M17.11%657M17.11%657M16.09%642M13.91%606M19.15%591M17.36%561M17.36%561M
Derivative assets -16.98%25.55B-45.96%21.99B21.67%29.76B4.11%20.45B4.11%20.45B-49.59%30.78B1.91%40.68B53.65%24.46B-26.17%19.65B-26.17%19.65B
Net PPE 0.61%4.79B2.55%4.91B3.87%4.97B-2.83%4.78B-2.83%4.78B2.98%4.76B0.42%4.79B-4.59%4.79B-6.79%4.91B-6.79%4.91B
-Gross PPE -------------1.32%6.68B-1.32%6.68B-------------4.41%6.77B-4.41%6.77B
-Accumulated depreciation -------------2.70%-1.9B-2.70%-1.9B-------------2.55%-1.85B-2.55%-1.85B
Assets held for sale -25.47%142.18B-19.32%162.55B-9.74%174.37B-6.94%178.59B-6.94%178.59B-46.18%190.76B-43.15%201.48B-43.71%193.18B-54.46%191.92B-54.46%191.92B
Goodwill and other intangible assets -0.63%8.48B0.42%8.59B2.10%8.6B1.96%8.57B1.96%8.57B3.41%8.53B2.84%8.55B1.36%8.43B1.20%8.4B1.20%8.4B
-Goodwill -0.93%4.35B-0.41%4.37B0.25%4.37B-0.93%4.36B-0.93%4.36B0.55%4.39B0.32%4.39B-0.66%4.36B0.92%4.4B0.92%4.4B
-Other intangible assets -0.31%4.13B1.30%4.22B4.08%4.24B5.14%4.21B5.14%4.21B6.62%4.14B5.63%4.16B3.62%4.07B1.52%4.01B1.52%4.01B
Defined pension benefit -23.24%12.34B-11.33%12.83B6.93%13.91B-9.13%11.7B-9.13%11.7B17.72%16.08B7.07%14.47B21.37%13.01B46.87%12.88B46.87%12.88B
Other assets -51.37%11.63B72.30%21.4B-44.90%22.57B-30.27%10.25B-30.27%10.25B316.42%23.92B-50.81%12.42B132.14%40.96B155.02%14.7B155.02%14.7B
Total assets 2.09%3.76T-0.74%3.73T4.28%3.76T2.43%3.54T2.43%3.54T-1.32%3.68T1.80%3.76T1.58%3.6T3.20%3.45T3.20%3.45T
Liabilities
Total deposits 1.12%1.52T-3.24%1.52T-0.72%1.52T-12.21%1.11T-12.21%1.11T-4.42%1.5T1.02%1.57T3.66%1.53T-4.55%1.26T-4.55%1.26T
Payables -7.37%1.73B-8.14%1.21B14.65%1.03B458.06%1.21B458.06%1.21B15.48%1.87B29.33%1.31B64.34%894M100.93%217M100.93%217M
-Total tax payable -7.37%1.73B-8.14%1.21B14.65%1.03B458.06%1.21B458.06%1.21B15.48%1.87B29.33%1.31B64.34%894M100.93%217M100.93%217M
Long term debt and capital lease obligation 1.99%1.63T0.73%1.61T8.57%1.64T11.51%1.85T11.51%1.85T3.50%1.6T5.01%1.6T4.45%1.51T15.43%1.66T15.43%1.66T
Derivative product liabilities 11.89%22.98B-28.00%16.06B-23.97%18.35B17.90%34.24B17.90%34.24B-23.77%20.53B2.41%22.31B21.80%24.14B110.68%29.04B110.68%29.04B
Other liabilities 3.43%19.55B-7.96%17.74B-20.61%20.2B62.40%11.9B62.40%11.9B-22.05%18.9B-34.09%19.27B-25.13%25.44B-6.12%7.33B-6.12%7.33B
Total liabilities 2.28%3.55T-0.75%3.53T4.38%3.57T2.24%3.33T2.24%3.33T-1.73%3.48T1.59%3.56T1.48%3.42T2.99%3.26T2.99%3.26T
Shareholders'equity
Share capital 0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B
-common stock 0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B0.00%3.07B
Paid-in capital 0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B0.00%8.76B
Retained earnings 1.37%172.12B2.09%164.91B2.23%157.87B8.26%177.01B8.26%177.01B5.90%169.8B4.58%161.54B3.11%154.44B6.15%163.51B6.15%163.51B
Total stockholders'equity -1.31%201.07B-0.64%195.03B2.54%189.56B5.70%205.08B5.70%205.08B6.12%203.74B5.72%196.29B3.50%184.87B6.78%194.02B6.78%194.02B
Non controlling interests 0.00%3M0.00%2M125.00%9M166.67%8M166.67%8M-76.92%3M-83.33%2M-85.19%4M-88.00%3M-88.00%3M
Total equity -1.31%201.07B-0.64%195.04B2.54%189.57B5.70%205.09B5.70%205.09B6.12%203.75B5.71%196.29B3.48%184.88B6.76%194.02B6.76%194.02B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK
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