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PRICER AB (PCRBF)

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  • 0.3555
  • 0.00000.00%
15min DelayClose May 22 09:30 ET
58.09MMarket Cap35.55P/E (TTM)

PRICER AB (PCRBF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-2.38%341M
-37.02%308.1M
-37.02%308.1M
21.54%174.9M
-5.57%240.7M
76.33%349.3M
91.39%489.2M
91.39%489.2M
-44.05%143.9M
167.47%254.9M
-Cash and cash equivalents
-2.38%341M
-37.02%308.1M
-37.02%308.1M
21.54%174.9M
-5.57%240.7M
76.33%349.3M
91.39%489.2M
91.39%489.2M
-44.05%143.9M
167.47%254.9M
-Accounts receivable
24.88%395M
4.68%429.2M
4.68%429.2M
9.63%480.2M
7.13%338.2M
-19.98%316.3M
42.76%410M
42.76%410M
39.49%438M
-0.85%315.7M
-Taxes receivable
----
-7.21%10.3M
-7.21%10.3M
----
----
----
-9.02%11.1M
-9.02%11.1M
----
----
-Other receivables
-36.60%145M
23.37%177.9M
23.37%177.9M
-19.91%205.6M
-22.42%227.7M
-14.09%228.7M
-30.10%144.2M
-30.10%144.2M
-28.36%256.7M
-20.22%293.5M
Inventory
2.47%605.3M
-18.81%541.6M
-18.81%541.6M
-18.40%629.5M
-11.66%610.4M
3.34%590.7M
2.07%667.1M
2.07%667.1M
11.72%771.4M
27.09%691M
Prepaid assets
--49.6M
15.18%22M
15.18%22M
----
----
----
-0.52%19.1M
-0.52%19.1M
----
----
Other current assets
----
----
----
----
----
----
----
----
----
--100K
Total current assets
3.43%1.54B
-14.33%1.49B
-14.33%1.49B
-7.44%1.49B
-8.89%1.42B
3.76%1.49B
21.38%1.74B
21.38%1.74B
-1.74%1.61B
15.47%1.56B
Non current assets
Net PPE
-0.51%155.3M
-3.54%157.9M
-3.54%157.9M
-4.31%148.9M
45.20%149.7M
51.41%156.1M
50.46%163.7M
50.46%163.7M
80.51%155.6M
23.33%103.1M
-Gross PPE
-0.51%155.3M
7.24%284.5M
7.24%284.5M
-4.31%148.9M
45.20%149.7M
51.41%156.1M
42.79%265.3M
42.79%265.3M
80.51%155.6M
23.33%103.1M
-Accumulated depreciation
----
-24.61%-126.6M
-24.61%-126.6M
----
----
----
-31.95%-101.6M
-31.95%-101.6M
----
----
Goodwill and other intangible assets
-0.67%399.2M
-4.48%398.3M
-4.48%398.3M
-2.00%402.8M
-1.16%407.3M
-2.92%401.9M
4.69%417M
4.69%417M
-2.88%411M
-3.13%412.1M
-Goodwill
--276.2M
-5.83%273M
-5.83%273M
----
----
----
3.54%289.9M
3.54%289.9M
----
----
-Other intangible assets
--123M
-1.42%125.3M
-1.42%125.3M
----
----
----
7.44%127.1M
7.44%127.1M
----
----
Non current prepaid assets
6.38%5M
6.38%5M
6.38%5M
4.44%4.7M
--4.7M
--4.7M
--4.7M
--4.7M
--4.5M
----
Other non current assets
----
----
----
----
----
----
----
----
----
--4.2M
Total non current assets
-0.39%613.9M
-4.14%614.2M
-4.14%614.2M
-2.73%609.7M
4.82%615.1M
4.69%616.3M
11.62%640.7M
11.62%640.7M
8.54%626.8M
1.68%586.8M
Total assets
2.31%2.15B
-11.59%2.11B
-11.59%2.11B
-6.12%2.1B
-5.13%2.03B
4.03%2.1B
18.59%2.38B
18.59%2.38B
0.94%2.24B
11.34%2.14B
Liabilities
Current liabilities
Payables
16.20%464.9M
6.71%487.9M
6.71%487.9M
-15.86%442.6M
-36.12%398.1M
-18.71%400.1M
-26.32%457.2M
-26.32%457.2M
-32.01%526M
-12.67%623.2M
-accounts payable
16.20%464.9M
4.82%460.7M
4.82%460.7M
-15.86%442.6M
-36.12%398.1M
-18.71%400.1M
-25.28%439.5M
-25.28%439.5M
-32.01%526M
-12.67%623.2M
-Total tax payable
----
53.67%27.2M
53.67%27.2M
----
----
----
-45.20%17.7M
-45.20%17.7M
----
----
Current provisions
-18.75%15.6M
-29.80%17.2M
-29.80%17.2M
-24.46%17.6M
-21.49%17.9M
-13.90%19.2M
13.95%24.5M
13.95%24.5M
-53.68%23.3M
-47.34%22.8M
Current debt and capital lease obligation
-4.35%11M
-93.77%16.3M
-93.77%16.3M
3.39%12.2M
85.48%11.5M
66.67%11.5M
2,715.05%261.8M
2,715.05%261.8M
2.61%11.8M
-51.18%6.2M
-Current debt
--0
-98.32%4.2M
-98.32%4.2M
--0
--0
--0
--250M
--250M
----
--0
-Current capital lease obligation
-4.35%11M
2.54%12.1M
2.54%12.1M
3.39%12.2M
85.48%11.5M
66.67%11.5M
26.88%11.8M
26.88%11.8M
2.61%11.8M
-51.18%6.2M
Other current liabilities
0.00%34.1M
97.92%9.5M
97.92%9.5M
-19.47%30.6M
0.40%25.1M
-6.83%34.1M
14.29%4.8M
14.29%4.8M
56.38%38M
-39.17%25M
Current liabilities
5.66%702M
-25.14%672.7M
-25.14%672.7M
-21.28%670.1M
-23.27%629.7M
-9.10%664.4M
19.35%898.6M
19.35%898.6M
-13.67%851.2M
-13.62%820.7M
Non current liabilities
Long term provisions
2.24%27.4M
-12.46%27.4M
-12.46%27.4M
-20.35%27.4M
-36.28%26.7M
-41.10%26.8M
-34.79%31.3M
-34.79%31.3M
739.02%34.4M
350.54%41.9M
Long term debt and capital lease obligation
-0.09%334.5M
-0.06%335.6M
-0.06%335.6M
13.88%331.4M
32.99%333M
33.71%334.8M
34.32%335.8M
34.32%335.8M
17.15%291M
0.48%250.4M
-Long term debt
0.89%295.1M
0.82%294.5M
0.82%294.5M
19.82%293.8M
20.53%293.5M
20.97%292.5M
21.66%292.1M
21.66%292.1M
2.47%245.2M
1.88%243.5M
-Long term capital lease obligation
-6.86%39.4M
-5.95%41.1M
-5.95%41.1M
-17.90%37.6M
472.46%39.5M
391.86%42.3M
341.41%43.7M
341.41%43.7M
403.30%45.8M
-32.35%6.9M
Other non current liabilities
----
----
----
----
-400.00%-300K
-200.00%-100K
----
----
----
--100K
Total non current liabilities
0.11%361.9M
-1.12%363M
-1.12%363M
10.26%358.8M
22.91%359.4M
22.13%361.5M
23.19%367.1M
23.19%367.1M
28.87%325.4M
13.11%292.4M
Total liabilities
3.70%1.06B
-18.17%1.04B
-18.17%1.04B
-12.55%1.03B
-11.14%989.1M
-0.10%1.03B
20.44%1.27B
20.44%1.27B
-5.00%1.18B
-7.90%1.11B
Shareholders'equity
Share capital
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
47.75%164M
-common stock
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
0.00%164M
47.75%164M
Retained earnings
5.88%255.7M
0.85%249.3M
0.85%249.3M
11.13%238.6M
8.41%206.3M
14.78%241.5M
115.52%247.2M
115.52%247.2M
93.08%214.7M
59.25%190.3M
Paid-in capital
-0.11%616.7M
-0.11%616.7M
-0.11%616.7M
0.00%617.4M
3.52%617.4M
13.06%617.4M
0.00%617.4M
0.00%617.4M
0.00%617.4M
52.84%596.4M
Other equity interest
----
----
----
----
----
----
----
----
---100K
---100K
Total stockholders'equity
0.98%1.09B
-4.11%1.07B
-4.11%1.07B
1.02%1.07B
1.37%1.04B
8.30%1.08B
16.56%1.12B
16.56%1.12B
8.46%1.06B
43.84%1.03B
Total equity
0.98%1.09B
-4.11%1.07B
-4.11%1.07B
1.02%1.07B
1.37%1.04B
8.30%1.08B
16.56%1.12B
16.56%1.12B
8.46%1.06B
43.84%1.03B
Currency Unit
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
SEK
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -2.38%341M-37.02%308.1M-37.02%308.1M21.54%174.9M-5.57%240.7M76.33%349.3M91.39%489.2M91.39%489.2M-44.05%143.9M167.47%254.9M
-Cash and cash equivalents -2.38%341M-37.02%308.1M-37.02%308.1M21.54%174.9M-5.57%240.7M76.33%349.3M91.39%489.2M91.39%489.2M-44.05%143.9M167.47%254.9M
-Accounts receivable 24.88%395M4.68%429.2M4.68%429.2M9.63%480.2M7.13%338.2M-19.98%316.3M42.76%410M42.76%410M39.49%438M-0.85%315.7M
-Taxes receivable -----7.21%10.3M-7.21%10.3M-------------9.02%11.1M-9.02%11.1M--------
-Other receivables -36.60%145M23.37%177.9M23.37%177.9M-19.91%205.6M-22.42%227.7M-14.09%228.7M-30.10%144.2M-30.10%144.2M-28.36%256.7M-20.22%293.5M
Inventory 2.47%605.3M-18.81%541.6M-18.81%541.6M-18.40%629.5M-11.66%610.4M3.34%590.7M2.07%667.1M2.07%667.1M11.72%771.4M27.09%691M
Prepaid assets --49.6M15.18%22M15.18%22M-------------0.52%19.1M-0.52%19.1M--------
Other current assets --------------------------------------100K
Total current assets 3.43%1.54B-14.33%1.49B-14.33%1.49B-7.44%1.49B-8.89%1.42B3.76%1.49B21.38%1.74B21.38%1.74B-1.74%1.61B15.47%1.56B
Non current assets
Net PPE -0.51%155.3M-3.54%157.9M-3.54%157.9M-4.31%148.9M45.20%149.7M51.41%156.1M50.46%163.7M50.46%163.7M80.51%155.6M23.33%103.1M
-Gross PPE -0.51%155.3M7.24%284.5M7.24%284.5M-4.31%148.9M45.20%149.7M51.41%156.1M42.79%265.3M42.79%265.3M80.51%155.6M23.33%103.1M
-Accumulated depreciation -----24.61%-126.6M-24.61%-126.6M-------------31.95%-101.6M-31.95%-101.6M--------
Goodwill and other intangible assets -0.67%399.2M-4.48%398.3M-4.48%398.3M-2.00%402.8M-1.16%407.3M-2.92%401.9M4.69%417M4.69%417M-2.88%411M-3.13%412.1M
-Goodwill --276.2M-5.83%273M-5.83%273M------------3.54%289.9M3.54%289.9M--------
-Other intangible assets --123M-1.42%125.3M-1.42%125.3M------------7.44%127.1M7.44%127.1M--------
Non current prepaid assets 6.38%5M6.38%5M6.38%5M4.44%4.7M--4.7M--4.7M--4.7M--4.7M--4.5M----
Other non current assets --------------------------------------4.2M
Total non current assets -0.39%613.9M-4.14%614.2M-4.14%614.2M-2.73%609.7M4.82%615.1M4.69%616.3M11.62%640.7M11.62%640.7M8.54%626.8M1.68%586.8M
Total assets 2.31%2.15B-11.59%2.11B-11.59%2.11B-6.12%2.1B-5.13%2.03B4.03%2.1B18.59%2.38B18.59%2.38B0.94%2.24B11.34%2.14B
Liabilities
Current liabilities
Payables 16.20%464.9M6.71%487.9M6.71%487.9M-15.86%442.6M-36.12%398.1M-18.71%400.1M-26.32%457.2M-26.32%457.2M-32.01%526M-12.67%623.2M
-accounts payable 16.20%464.9M4.82%460.7M4.82%460.7M-15.86%442.6M-36.12%398.1M-18.71%400.1M-25.28%439.5M-25.28%439.5M-32.01%526M-12.67%623.2M
-Total tax payable ----53.67%27.2M53.67%27.2M-------------45.20%17.7M-45.20%17.7M--------
Current provisions -18.75%15.6M-29.80%17.2M-29.80%17.2M-24.46%17.6M-21.49%17.9M-13.90%19.2M13.95%24.5M13.95%24.5M-53.68%23.3M-47.34%22.8M
Current debt and capital lease obligation -4.35%11M-93.77%16.3M-93.77%16.3M3.39%12.2M85.48%11.5M66.67%11.5M2,715.05%261.8M2,715.05%261.8M2.61%11.8M-51.18%6.2M
-Current debt --0-98.32%4.2M-98.32%4.2M--0--0--0--250M--250M------0
-Current capital lease obligation -4.35%11M2.54%12.1M2.54%12.1M3.39%12.2M85.48%11.5M66.67%11.5M26.88%11.8M26.88%11.8M2.61%11.8M-51.18%6.2M
Other current liabilities 0.00%34.1M97.92%9.5M97.92%9.5M-19.47%30.6M0.40%25.1M-6.83%34.1M14.29%4.8M14.29%4.8M56.38%38M-39.17%25M
Current liabilities 5.66%702M-25.14%672.7M-25.14%672.7M-21.28%670.1M-23.27%629.7M-9.10%664.4M19.35%898.6M19.35%898.6M-13.67%851.2M-13.62%820.7M
Non current liabilities
Long term provisions 2.24%27.4M-12.46%27.4M-12.46%27.4M-20.35%27.4M-36.28%26.7M-41.10%26.8M-34.79%31.3M-34.79%31.3M739.02%34.4M350.54%41.9M
Long term debt and capital lease obligation -0.09%334.5M-0.06%335.6M-0.06%335.6M13.88%331.4M32.99%333M33.71%334.8M34.32%335.8M34.32%335.8M17.15%291M0.48%250.4M
-Long term debt 0.89%295.1M0.82%294.5M0.82%294.5M19.82%293.8M20.53%293.5M20.97%292.5M21.66%292.1M21.66%292.1M2.47%245.2M1.88%243.5M
-Long term capital lease obligation -6.86%39.4M-5.95%41.1M-5.95%41.1M-17.90%37.6M472.46%39.5M391.86%42.3M341.41%43.7M341.41%43.7M403.30%45.8M-32.35%6.9M
Other non current liabilities -----------------400.00%-300K-200.00%-100K--------------100K
Total non current liabilities 0.11%361.9M-1.12%363M-1.12%363M10.26%358.8M22.91%359.4M22.13%361.5M23.19%367.1M23.19%367.1M28.87%325.4M13.11%292.4M
Total liabilities 3.70%1.06B-18.17%1.04B-18.17%1.04B-12.55%1.03B-11.14%989.1M-0.10%1.03B20.44%1.27B20.44%1.27B-5.00%1.18B-7.90%1.11B
Shareholders'equity
Share capital 0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M47.75%164M
-common stock 0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M0.00%164M47.75%164M
Retained earnings 5.88%255.7M0.85%249.3M0.85%249.3M11.13%238.6M8.41%206.3M14.78%241.5M115.52%247.2M115.52%247.2M93.08%214.7M59.25%190.3M
Paid-in capital -0.11%616.7M-0.11%616.7M-0.11%616.7M0.00%617.4M3.52%617.4M13.06%617.4M0.00%617.4M0.00%617.4M0.00%617.4M52.84%596.4M
Other equity interest -----------------------------------100K---100K
Total stockholders'equity 0.98%1.09B-4.11%1.07B-4.11%1.07B1.02%1.07B1.37%1.04B8.30%1.08B16.56%1.12B16.56%1.12B8.46%1.06B43.84%1.03B
Total equity 0.98%1.09B-4.11%1.07B-4.11%1.07B1.02%1.07B1.37%1.04B8.30%1.08B16.56%1.12B16.56%1.12B8.46%1.06B43.84%1.03B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK
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