June 16, 2022
The consolidated annual report for the financial year 2021 is now published and available for download on the website under the tab “IR”.
Turnover for the period was approximately SEK 50 million and the operating profit amounted to approximately SEK 24 million, profit after tax was SEK 8.6 million.
The equity ratio increased to 46% at group level with a cash balance of approximately SEK 108 million.
"The Board, including myself, is extremely pleased and grateful for the blessed result from the previous financial year with increased equity ratio and cash retention. This paves the way for the continued success of Energifonden with its shareholders and bondholders.” - CEO, Fredrik M. Johansson
Fredrik M. Johansson, CEO Energifonden Sverige AB