Husqvarna AB
OTC:HUSQF

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Husqvarna AB Logo
Husqvarna AB
OTC:HUSQF
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Price: 4.1 USD Market Closed
Market Cap: $2.3B

Balance Sheet

Balance Sheet Decomposition
Husqvarna AB

Balance Sheet
Husqvarna AB

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Balance Sheet
Currency: SEK
Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
1 622
1 937
1 872
1 346
1 911
6 151
2 208
2 328
1 527
1 970
1 707
Cash Equivalents
1 622
1 937
1 872
1 346
1 911
6 151
2 208
2 328
1 527
1 970
1 707
Short-Term Investments
4
4
2
0
0
0
0
0
0
0
0
Total Receivables
3 772
3 877
4 004
4 409
4 455
4 087
5 275
7 677
6 097
6 682
5 452
Accounts Receivables
3 126
3 290
3 407
3 613
3 620
3 259
4 310
6 267
5 196
5 494
4 990
Other Receivables
646
587
597
796
835
828
965
1 410
901
1 188
462
Inventory
7 874
9 225
9 522
11 067
10 858
9 734
14 030
19 334
17 184
13 828
13 847
Other Current Assets
648
766
727
785
1 018
1 276
836
1 448
2 210
2 381
2 218
Total Current Assets
13 920
15 809
16 127
17 607
18 242
21 248
22 349
30 787
27 018
24 861
23 224
PP&E Net
4 620
5 472
5 806
6 184
8 379
7 536
9 123
9 439
9 273
9 196
8 309
PP&E Gross
4 620
5 472
5 806
6 184
8 379
7 536
9 123
9 439
9 273
9 196
0
Accumulated Depreciation
12 093
13 092
12 837
14 440
13 209
13 259
13 772
16 422
16 691
14 284
0
Intangible Assets
3 926
4 176
5 122
5 534
5 629
5 639
7 680
8 408
8 400
8 911
8 265
Goodwill
5 613
6 014
6 635
7 105
7 338
6 905
9 305
10 187
9 920
10 521
9 380
Note Receivable
35
59
60
53
79
61
77
58
24
47
0
Long-Term Investments
2
2
347
381
428
399
436
621
618
605
2
Other Long-Term Assets
1 553
1 446
1 321
1 743
1 886
1 729
1 950
2 136
2 357
2 662
2 914
Other Assets
5 613
6 014
6 635
7 105
7 338
6 905
9 305
10 187
9 920
10 521
9 380
Total Assets
29 669
N/A
32 978
+11%
35 418
+7%
38 607
+9%
41 981
+9%
43 517
+4%
50 920
+17%
61 636
+21%
57 610
-7%
56 803
-1%
52 094
-8%
Liabilities
Accounts Payable
3 077
3 752
4 098
4 622
4 099
4 815
6 990
7 111
5 487
5 896
5 786
Accrued Liabilities
1 899
1 985
2 059
2 385
0
2 946
3 424
4 097
3 865
4 038
0
Short-Term Debt
600
0
0
925
2 100
0
2 100
6 357
1 193
149
0
Current Portion of Long-Term Debt
1 416
1 494
2 913
2 607
1 051
3 229
2 829
1 992
5 486
2 741
2 332
Other Current Liabilities
1 187
2 146
1 573
1 205
4 078
2 986
3 713
2 996
2 652
2 608
5 267
Total Current Liabilities
8 179
9 377
10 643
11 744
11 328
13 976
19 056
22 553
18 683
15 432
13 385
Long-Term Debt
4 580
4 953
4 684
6 229
8 351
7 674
5 134
10 635
9 992
11 631
10 399
Deferred Income Tax
1 554
1 656
1 895
1 794
1 732
1 497
2 237
2 056
2 334
2 349
2 291
Minority Interest
20
26
2
2
2
3
14
10
2
3
3
Other Liabilities
2 295
2 627
2 529
2 831
3 287
3 308
2 847
2 381
2 829
2 769
2 479
Total Liabilities
16 628
N/A
18 639
+12%
19 753
+6%
22 600
+14%
24 700
+9%
26 458
+7%
29 288
+11%
37 635
+28%
33 840
-10%
32 184
-5%
28 557
-11%
Equity
Common Stock
1 153
1 153
1 153
1 153
1 153
1 153
1 153
1 153
1 153
1 153
0
Retained Earnings
9 642
10 523
11 981
11 798
12 760
13 955
17 549
18 196
18 161
17 979
0
Additional Paid In Capital
2 605
2 605
2 605
2 605
2 605
2 605
2 605
2 605
2 605
2 605
0
Unrealized Security Profit/Loss
0
0
32
794
1 319
412
1 046
1 962
1 559
2 626
0
Other Equity
359
58
106
1 245
2 082
242
1 371
4 009
3 410
5 508
23 537
Total Equity
13 041
N/A
14 339
+10%
15 665
+9%
16 007
+2%
17 281
+8%
17 059
-1%
21 632
+27%
24 001
+11%
23 770
-1%
24 619
+4%
23 537
-4%
Total Liabilities & Equity
29 669
N/A
32 978
+11%
35 418
+7%
38 607
+9%
41 981
+9%
43 517
+4%
50 920
+17%
61 636
+21%
57 610
-7%
56 803
-1%
52 094
-8%
Shares Outstanding
Common Shares Outstanding
573
572
571
572
572
573
570
570
572
572
572
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