Other financial records

Fair values on financial instruments

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  30 Sep 21 31 Dec 20
SEKm Carrying amount Level 2 Level 3 Carrying amount Level 2 Level 3
Derivatives measured at fair value through profit or loss 0 0
Total financial assets at fair value per level 0 0 0 0
Derivatives measured at fair value through profit or loss 0 0 2 2
Contingent considerations 339 339 86 86
Total financial liabilities at fair value per level 339 0 339 88 2 86
The fair value and carrying amount are recognized in the balance sheet as shown in the table above.
For quoted securities, the fair value is determined on the basis of the asset’s quoted price in an active market, level 1. As at the reporting date the Group had no items in this category. For currency contracts and embedded derivatives, the fair value is determined on the basis of observable market data, level 2. For contingent considerations, a cash-flow-based valuation is performed, which is not based on observable market data, level 3. For the Group’s other financial assets and liabilities, fair value is estimated to essentially correspond to the carrying amount.

Contingent considerations

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  3 months ending 9 months ending 12 months ending
SEKm 30 Sep 21 30 Sep 20 30 Sep 21 30 Sep 20 30 Sep 21 31 dec 20
Carrying amount, opening balance 297 31 86 18 31 18
Acquisitions during the period 34 247 14 305 72
Consideration paid -6 -6
Revaluation through profit or loss 4 6 7 1
Reversed through profit or loss 0 0
Interest expenses 2 5 5 0
Exchange differences 2 1 -1 -3 -5
Carrying amount, closing balance 339 31 339 31 339 86

Pledged assets and contingent liabilities in the Group

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SEKm 30 Sep 21 31 Dec 20 30 Sep 20
Contingent liabilities 41 41 43
Latest updated: 11/23/2021 3:49:49 PM by admin