Bonava’s year-end report 2020
Strong operating profit and cash flow and more projects started1 October – 31 December 2020 · Net sales amounted to SEK 7,553 M (6,499) · Operating profit* totalled SEK 910 M (693) · Operating margin* was 12.0 per cent (10.7) · Profit after financial items was SEK 873 M (504) · Profit for the period after tax amounted to SEK 640 M (368) · Cash flow before financing was SEK 1,918 M (969) · Earnings per share was SEK 5.97 (3.42) · Return on capital employed* was 7.9 per cent (8.1) · Sales value of housing units sold in the quarter amounted to SEK 6,218 M (5,335)