Volvo Statements
0M
Volvo Income Statement
B
M
SEK (except Earnings per share)
Financial
Revenue
Cost of sales
Gross profit
Research and development
Selling, general and administrative
Total operating expenses
Operating income
Interest expense
Other income
Income before tax
Provision for income taxes
Net income
Diluted earnings per share
Shares outstanding after dilution
131 177
100
94 395
72
36 782
28
6 631
5.1
10 581
8.1
18 481
14.1
18 301
14
379
0.3
-238
-0.2
18 442
14.1
4 339
3.3
14 080
10.7
6.926
2 033
148 118
100
109 406
73.9
38 712
26.1
6 333
4.3
11 398
7.7
20 673
14
18 039
12.2
-574
-0.4
-582
-0.4
16 883
11.4
4 797
3.2
12 053
8.1
5.923
2 034.81
132 405
100
96 026
72.5
36 379
27.5
5 640
4.3
9 888
7.5
17 350
13.1
19 029
14.4
-303
-0.2
-68
-0.05
18 636
14.1
4 543
3.4
14 092
10.6
6.932
2 033
140 821
100
101 900
72.4
38 921
27.6
6 149
4.4
10 187
7.2
23 883
17
15 038
10.7
-266
-0.2
-363
-0.3
14 409
10.2
3 591
2.6
10 770
7.6
5.298
2 033
131 420
100
96 112
73.1
35 308
26.9
5 835
4.4
9 557
7.3
18 028
13.7
17 280
13.1
87
0.07
-570
-0.4
16 797
12.8
3 863
2.9
12 910
9.8
6.35
2 033
134 303
100
103 226
76.9
31 077
23.1
6 218
4.6
9 983
7.4
19 170
14.3
11 907
8.9
-250
-0.2
-1 237
-0.9
10 420
7.8
3 729
2.8
6 621
4.9
3.254
2 034.81
114 917
100
87 594
76.2
27 323
23.8
4 922
4.3
8 429
7.3
14 919
13
12 404
10.8
-550
-0.5
-96
-0.08
11 758
10.2
3 071
2.7
8 628
7.5
4.244
2 033
118 943
100
90 221
75.9
28 722
24.1
4 796
4
8 409
7.1
14 673
12.3
14 049
11.8
-399
-0.3
223
0.2
13 873
11.7
3 352
2.8
10 443
8.8
5.137
2 033
105 317
100
80 700
76.6
24 617
23.4
3 955
3.8
8 104
7.7
16 065
15.3
8 552
8.1
-199
-0.2
674
0.6
9 027
8.6
1 956
1.9
7 033
6.7
3.459
2 033
102 378
100
78 942
77.1
23 436
22.9
4 166
4.1
7 598
7.4
12 561
12.3
10 875
10.6
-876
-0.9
203
0.2
10 202
10
2 135
2.1
7 994
7.8
3.929
2 034.81
85 258
100
64 357
75.5
20 901
24.5
3 446
4
6 588
7.7
11 144
13.1
9 757
11.4
-546
-0.6
222
0.3
9 433
11.1
2 325
2.7
7 052
8.3
3.469
2 033
90 561
100
68 843
76
21 718
24
4 127
4.6
7 239
8
10 626
11.7
11 092
12.2
116
0.1
57
0.06
11 265
12.4
2 202
2.4
8 900
9.8
4.378
2 033
94 018
100
70 322
74.8
23 696
25.2
—
0
7 405
7.9
12 277
13.1
11 419
12.1
428
0.5
443
0.5
12 290
13.1
3 286
3.5
8 841
9.4
4.349
2 033
96 918
100
73 071
75.4
23 847
24.6
3 741
3.9
8 061
8.3
12 251
12.6
11 596
12
370
0.4
-89
-0.09
11 877
12.3
2 516
2.6
9 202
9.5
4.522
2 034.81
76 852
100
58 015
75.5
18 837
24.5
3 044
4
7 197
9.4
11 646
15.2
7 191
9.4
80
0.1
369
0.5
7 640
9.9
1 737
2.3
5 723
7.4
2.815
2 033
73 227
100
58 474
79.9
14 753
20.1
3 139
4.3
7 094
9.7
15 200
20.8
-447
-0.6
534
0.7
-177
-0.2
-90
-0.1
-134
-0.2
-282
-0.4
-0.139
2 033
91 449
100
69 759
76.3
21 690
23.7
4 327
4.7
8 780
9.6
14 292
15.6
7 398
8.1
-288
-0.3
-620
-0.7
6 490
7.1
1 724
1.9
4 675
5.1
2.3
2 033
105 355
100
80 501
76.4
24 854
23.6
4 713
4.5
10 651
10.1
16 212
15.4
8 642
8.2
431
0.4
-216
-0.2
8 857
8.4
2 027
1.9
6 659
6.3
3.275
2 033
98 723
100
73 903
74.9
24 820
25.1
3 616
3.7
9 864
10
14 201
14.4
10 619
10.8
-28
-0.03
-462
-0.5
10 129
10.3
2 580
2.6
7 455
7.6
3.667
2 033
120 694
100
90 886
75.3
29 808
24.7
4 169
3.5
10 162
8.4
15 401
12.8
14 407
11.9
325
0.3
-166
-0.1
14 566
12.1
3 213
2.7
11 131
9.2
5.475
2 033