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SECURITAS AB (SCTBF)

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  • 16.400
  • -0.560-3.30%
15min DelayClose May 13 12:13 ET
9.83BMarket Cap16.19P/E (TTM)

SECURITAS AB (SCTBF) 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
17.72%6.46B
-5.06%7.05B
-5.06%7.05B
9.55%7.54B
32.22%6.82B
-11.38%5.48B
-6.48%7.43B
-6.48%7.43B
33.61%6.88B
-6.05%5.16B
-Cash and cash equivalents
17.72%6.46B
-5.06%7.05B
-5.06%7.05B
9.55%7.54B
32.22%6.82B
-11.38%5.48B
-6.48%7.43B
-6.48%7.43B
33.61%6.88B
-6.05%5.16B
-Accounts receivable
----
-9.25%20.9B
-9.25%20.9B
----
----
----
11.07%23.03B
11.07%23.03B
----
----
-Taxes receivable
----
-5.60%1.38B
-5.60%1.38B
----
----
----
64.05%1.47B
64.05%1.47B
----
----
-Other receivables
----
-15.45%6.25B
-15.45%6.25B
----
----
----
-4.01%7.4B
-4.01%7.4B
----
----
Inventory
----
-23.37%1.3B
-23.37%1.3B
----
----
----
17.74%1.7B
17.74%1.7B
----
----
Prepaid assets
----
-10.85%2.31B
-10.85%2.31B
----
----
----
-2.48%2.59B
-2.48%2.59B
----
----
Other current assets
-2.81%35.57B
18.44%167M
18.44%167M
-6.30%34.47B
-6.62%35.69B
-3.66%36.6B
-8.44%141M
-8.44%141M
-2.32%36.79B
0.16%38.21B
Total current assets
-0.13%42.03B
-9.87%40.11B
-9.87%40.11B
-3.80%42.01B
-2.00%42.51B
-4.74%42.08B
6.75%44.5B
6.75%44.5B
2.00%43.67B
-0.62%43.37B
Non current assets
Net PPE
-2.14%8.15B
-9.07%8.03B
-9.07%8.03B
-4.50%8.17B
-5.80%8.31B
-7.42%8.32B
2.20%8.83B
2.20%8.83B
-4.35%8.55B
-5.28%8.82B
-Gross PPE
-2.14%8.15B
-16.28%19.89B
-16.28%19.89B
-4.50%8.17B
-5.80%8.31B
-7.42%8.32B
6.34%23.76B
6.34%23.76B
-4.35%8.55B
-5.28%8.82B
-Accumulated depreciation
----
20.55%-11.86B
20.55%-11.86B
----
----
----
-8.96%-14.93B
-8.96%-14.93B
----
----
Goodwill and other intangible assets
-2.66%57.88B
-12.73%55.78B
-12.73%55.78B
-6.45%56.85B
-7.34%57.9B
-5.63%59.46B
6.71%63.91B
6.71%63.91B
-6.11%60.77B
-0.51%62.48B
-Goodwill
-2.35%49.86B
-12.61%47.98B
-12.61%47.98B
-6.08%48.88B
-6.87%49.76B
-5.02%51.06B
7.81%54.9B
7.81%54.9B
-5.39%52.04B
0.75%53.43B
-Other intangible assets
-4.56%8.03B
-13.46%7.8B
-13.46%7.8B
-8.66%7.97B
-10.12%8.13B
-9.18%8.41B
0.42%9.02B
0.42%9.02B
-10.20%8.73B
-7.39%9.05B
Financial assets
----
47.31%520M
47.31%520M
----
----
----
-8.79%353M
-8.79%353M
----
----
Defined pension benefit
----
3.88%402M
3.88%402M
----
----
----
--387M
--387M
----
----
Total non current assets
-3.52%70.79B
-12.33%69.33B
-12.33%69.33B
-6.60%70.69B
-7.05%72.01B
-6.02%73.37B
5.87%79.09B
5.87%79.09B
-5.30%75.68B
-0.87%77.47B
Total assets
-2.28%112.82B
-11.44%109.45B
-11.44%109.45B
-5.57%112.7B
-5.24%114.52B
-5.55%115.46B
6.18%123.59B
6.18%123.59B
-2.75%119.35B
-0.78%120.85B
Liabilities
Current liabilities
Payables
----
-7.35%8.39B
-7.35%8.39B
18.47%1.29B
18.47%1.29B
----
-1.44%9.05B
-1.44%9.05B
--1.09B
--1.09B
-accounts payable
----
-9.99%4.51B
-9.99%4.51B
----
----
----
-2.36%5.01B
-2.36%5.01B
----
----
-Total tax payable
----
0.14%3.47B
0.14%3.47B
----
----
----
-0.09%3.46B
-0.09%3.46B
----
----
-Dividends payable
----
----
----
18.47%1.29B
18.47%1.29B
----
----
----
--1.09B
--1.09B
-Other payable
----
-29.06%415M
-29.06%415M
----
----
----
-1.35%585M
-1.35%585M
----
----
Current provisions
----
-4.05%2.23B
-4.05%2.23B
----
----
----
20.39%2.32B
20.39%2.32B
----
----
Current debt and capital lease obligation
3.28%3.28B
-55.22%2.86B
-55.22%2.86B
-85.26%1.4B
-70.17%3.08B
-68.06%3.17B
-47.31%6.39B
-47.31%6.39B
1.45%9.47B
16.28%10.32B
-Current debt
4.28%1.88B
-69.59%1.5B
-69.59%1.5B
-99.86%11M
-81.02%1.7B
-78.91%1.8B
-54.31%4.93B
-54.31%4.93B
3.30%8.11B
22.46%8.93B
-Current capital lease obligation
1.97%1.4B
-6.58%1.36B
-6.58%1.36B
1.69%1.39B
-0.29%1.38B
-1.93%1.37B
9.38%1.46B
9.38%1.46B
-8.34%1.36B
-12.22%1.39B
Other current liabilities
0.35%27.35B
-15.02%922M
-15.02%922M
-4.89%27.27B
-4.58%27.22B
-7.37%27.26B
4.73%1.09B
4.73%1.09B
-6.21%28.68B
-1.43%28.53B
Current liabilities
0.66%30.63B
-18.83%29.62B
-18.83%29.62B
-23.65%29.96B
-20.90%31.59B
-22.69%30.43B
-10.20%36.49B
-10.20%36.49B
-1.70%39.24B
5.60%39.93B
Non current liabilities
Long term provisions
0.08%3.62B
-16.23%831M
-16.23%831M
-8.31%3.43B
-11.16%3.46B
-6.20%3.61B
12.86%992M
12.86%992M
0.75%3.74B
4.60%3.89B
Long term debt and capital lease obligation
-10.04%36.51B
-8.21%36.42B
-8.21%36.42B
9.09%40.8B
8.55%41.25B
4.73%40.58B
15.27%39.68B
15.27%39.68B
-6.86%37.4B
-9.60%38B
-Long term debt
-10.58%33.55B
-7.95%33.52B
-7.95%33.52B
10.33%37.82B
10.07%38.21B
6.24%37.52B
17.16%36.42B
17.16%36.42B
-6.83%34.28B
-9.73%34.72B
-Long term capital lease obligation
-3.36%2.96B
-11.17%2.89B
-11.17%2.89B
-4.46%2.98B
-7.51%3.04B
-10.75%3.06B
-2.34%3.26B
-2.34%3.26B
-7.23%3.12B
-8.21%3.29B
Derivative product liabilities
----
-48.05%213M
-48.05%213M
----
----
----
-32.01%410M
-32.01%410M
----
----
Other non current liabilities
28.78%434M
-32.79%41M
-32.79%41M
2.11%338M
3.79%329M
8.36%337M
-11.59%61M
-11.59%61M
14.93%331M
-2.16%317M
Total non current liabilities
-8.92%40.56B
-8.18%40.79B
-8.18%40.79B
7.47%44.57B
6.70%45.04B
3.78%44.53B
13.72%44.42B
13.72%44.42B
-6.08%41.47B
-8.40%42.21B
Total liabilities
-5.03%71.19B
-12.99%70.4B
-12.99%70.4B
-7.66%74.53B
-6.72%76.63B
-8.89%74.96B
1.52%80.91B
1.52%80.91B
-4.00%80.71B
-2.09%82.14B
Shareholders'equity
Share capital
----
0.00%573M
0.00%573M
----
----
----
0.00%573M
0.00%573M
----
----
-common stock
----
0.00%573M
0.00%573M
----
----
----
0.00%573M
0.00%573M
----
----
Retained earnings
----
12.66%24.04B
12.66%24.04B
----
----
----
17.57%21.34B
17.57%21.34B
----
----
Paid-in capital
----
0.00%16.67B
0.00%16.67B
----
----
----
0.00%16.67B
0.00%16.67B
----
----
Total stockholders'equity
2.78%41.61B
-8.54%39.03B
-8.54%39.03B
-1.22%38.17B
-2.10%37.9B
1.30%40.49B
16.30%42.68B
16.30%42.68B
-0.03%38.64B
2.16%38.71B
Noncontrolling interests
128.57%16M
150.00%10M
150.00%10M
300.00%2M
25.00%-3M
16.67%7M
33.33%4M
33.33%4M
-116.67%-1M
-128.57%-4M
Total equity
2.81%41.63B
-8.52%39.04B
-8.52%39.04B
-1.21%38.17B
-2.10%37.89B
1.31%40.49B
16.30%42.68B
16.30%42.68B
-0.05%38.64B
2.11%38.7B
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 17.72%6.46B-5.06%7.05B-5.06%7.05B9.55%7.54B32.22%6.82B-11.38%5.48B-6.48%7.43B-6.48%7.43B33.61%6.88B-6.05%5.16B
-Cash and cash equivalents 17.72%6.46B-5.06%7.05B-5.06%7.05B9.55%7.54B32.22%6.82B-11.38%5.48B-6.48%7.43B-6.48%7.43B33.61%6.88B-6.05%5.16B
-Accounts receivable -----9.25%20.9B-9.25%20.9B------------11.07%23.03B11.07%23.03B--------
-Taxes receivable -----5.60%1.38B-5.60%1.38B------------64.05%1.47B64.05%1.47B--------
-Other receivables -----15.45%6.25B-15.45%6.25B-------------4.01%7.4B-4.01%7.4B--------
Inventory -----23.37%1.3B-23.37%1.3B------------17.74%1.7B17.74%1.7B--------
Prepaid assets -----10.85%2.31B-10.85%2.31B-------------2.48%2.59B-2.48%2.59B--------
Other current assets -2.81%35.57B18.44%167M18.44%167M-6.30%34.47B-6.62%35.69B-3.66%36.6B-8.44%141M-8.44%141M-2.32%36.79B0.16%38.21B
Total current assets -0.13%42.03B-9.87%40.11B-9.87%40.11B-3.80%42.01B-2.00%42.51B-4.74%42.08B6.75%44.5B6.75%44.5B2.00%43.67B-0.62%43.37B
Non current assets
Net PPE -2.14%8.15B-9.07%8.03B-9.07%8.03B-4.50%8.17B-5.80%8.31B-7.42%8.32B2.20%8.83B2.20%8.83B-4.35%8.55B-5.28%8.82B
-Gross PPE -2.14%8.15B-16.28%19.89B-16.28%19.89B-4.50%8.17B-5.80%8.31B-7.42%8.32B6.34%23.76B6.34%23.76B-4.35%8.55B-5.28%8.82B
-Accumulated depreciation ----20.55%-11.86B20.55%-11.86B-------------8.96%-14.93B-8.96%-14.93B--------
Goodwill and other intangible assets -2.66%57.88B-12.73%55.78B-12.73%55.78B-6.45%56.85B-7.34%57.9B-5.63%59.46B6.71%63.91B6.71%63.91B-6.11%60.77B-0.51%62.48B
-Goodwill -2.35%49.86B-12.61%47.98B-12.61%47.98B-6.08%48.88B-6.87%49.76B-5.02%51.06B7.81%54.9B7.81%54.9B-5.39%52.04B0.75%53.43B
-Other intangible assets -4.56%8.03B-13.46%7.8B-13.46%7.8B-8.66%7.97B-10.12%8.13B-9.18%8.41B0.42%9.02B0.42%9.02B-10.20%8.73B-7.39%9.05B
Financial assets ----47.31%520M47.31%520M-------------8.79%353M-8.79%353M--------
Defined pension benefit ----3.88%402M3.88%402M--------------387M--387M--------
Total non current assets -3.52%70.79B-12.33%69.33B-12.33%69.33B-6.60%70.69B-7.05%72.01B-6.02%73.37B5.87%79.09B5.87%79.09B-5.30%75.68B-0.87%77.47B
Total assets -2.28%112.82B-11.44%109.45B-11.44%109.45B-5.57%112.7B-5.24%114.52B-5.55%115.46B6.18%123.59B6.18%123.59B-2.75%119.35B-0.78%120.85B
Liabilities
Current liabilities
Payables -----7.35%8.39B-7.35%8.39B18.47%1.29B18.47%1.29B-----1.44%9.05B-1.44%9.05B--1.09B--1.09B
-accounts payable -----9.99%4.51B-9.99%4.51B-------------2.36%5.01B-2.36%5.01B--------
-Total tax payable ----0.14%3.47B0.14%3.47B-------------0.09%3.46B-0.09%3.46B--------
-Dividends payable ------------18.47%1.29B18.47%1.29B--------------1.09B--1.09B
-Other payable -----29.06%415M-29.06%415M-------------1.35%585M-1.35%585M--------
Current provisions -----4.05%2.23B-4.05%2.23B------------20.39%2.32B20.39%2.32B--------
Current debt and capital lease obligation 3.28%3.28B-55.22%2.86B-55.22%2.86B-85.26%1.4B-70.17%3.08B-68.06%3.17B-47.31%6.39B-47.31%6.39B1.45%9.47B16.28%10.32B
-Current debt 4.28%1.88B-69.59%1.5B-69.59%1.5B-99.86%11M-81.02%1.7B-78.91%1.8B-54.31%4.93B-54.31%4.93B3.30%8.11B22.46%8.93B
-Current capital lease obligation 1.97%1.4B-6.58%1.36B-6.58%1.36B1.69%1.39B-0.29%1.38B-1.93%1.37B9.38%1.46B9.38%1.46B-8.34%1.36B-12.22%1.39B
Other current liabilities 0.35%27.35B-15.02%922M-15.02%922M-4.89%27.27B-4.58%27.22B-7.37%27.26B4.73%1.09B4.73%1.09B-6.21%28.68B-1.43%28.53B
Current liabilities 0.66%30.63B-18.83%29.62B-18.83%29.62B-23.65%29.96B-20.90%31.59B-22.69%30.43B-10.20%36.49B-10.20%36.49B-1.70%39.24B5.60%39.93B
Non current liabilities
Long term provisions 0.08%3.62B-16.23%831M-16.23%831M-8.31%3.43B-11.16%3.46B-6.20%3.61B12.86%992M12.86%992M0.75%3.74B4.60%3.89B
Long term debt and capital lease obligation -10.04%36.51B-8.21%36.42B-8.21%36.42B9.09%40.8B8.55%41.25B4.73%40.58B15.27%39.68B15.27%39.68B-6.86%37.4B-9.60%38B
-Long term debt -10.58%33.55B-7.95%33.52B-7.95%33.52B10.33%37.82B10.07%38.21B6.24%37.52B17.16%36.42B17.16%36.42B-6.83%34.28B-9.73%34.72B
-Long term capital lease obligation -3.36%2.96B-11.17%2.89B-11.17%2.89B-4.46%2.98B-7.51%3.04B-10.75%3.06B-2.34%3.26B-2.34%3.26B-7.23%3.12B-8.21%3.29B
Derivative product liabilities -----48.05%213M-48.05%213M-------------32.01%410M-32.01%410M--------
Other non current liabilities 28.78%434M-32.79%41M-32.79%41M2.11%338M3.79%329M8.36%337M-11.59%61M-11.59%61M14.93%331M-2.16%317M
Total non current liabilities -8.92%40.56B-8.18%40.79B-8.18%40.79B7.47%44.57B6.70%45.04B3.78%44.53B13.72%44.42B13.72%44.42B-6.08%41.47B-8.40%42.21B
Total liabilities -5.03%71.19B-12.99%70.4B-12.99%70.4B-7.66%74.53B-6.72%76.63B-8.89%74.96B1.52%80.91B1.52%80.91B-4.00%80.71B-2.09%82.14B
Shareholders'equity
Share capital ----0.00%573M0.00%573M------------0.00%573M0.00%573M--------
-common stock ----0.00%573M0.00%573M------------0.00%573M0.00%573M--------
Retained earnings ----12.66%24.04B12.66%24.04B------------17.57%21.34B17.57%21.34B--------
Paid-in capital ----0.00%16.67B0.00%16.67B------------0.00%16.67B0.00%16.67B--------
Total stockholders'equity 2.78%41.61B-8.54%39.03B-8.54%39.03B-1.22%38.17B-2.10%37.9B1.30%40.49B16.30%42.68B16.30%42.68B-0.03%38.64B2.16%38.71B
Noncontrolling interests 128.57%16M150.00%10M150.00%10M300.00%2M25.00%-3M16.67%7M33.33%4M33.33%4M-116.67%-1M-128.57%-4M
Total equity 2.81%41.63B-8.52%39.04B-8.52%39.04B-1.21%38.17B-2.10%37.89B1.31%40.49B16.30%42.68B16.30%42.68B-0.05%38.64B2.11%38.7B
Currency Unit SEKSEKSEKSEKSEKSEKSEKSEKSEKSEK
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