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Alternative performance measures


This report contains financial key figures in accordance with the frameworks applied by AddLife, which are based on IFRS. In addition, there are alternative performance measures (APM) that cannot be directly extracted or derived from the financial statements. These key figures are essential for understanding and evaluating AddLife's operations and financial position. They should not be seen as a replacement for the measures defined according to IFRS but rather as a complement to the financial reporting. Since not all companies calculate financial measures in the same way, these are not always comparable with measures used by other companies. The key figures are presented below and commented on in other parts of the year-end report.

Return on equity

  Dec 31 Dec 31
SEKm 2025 2024
Profit/loss for the period (roll 12 months) 560 252
Average equity 5,293 5,146
Return on equity, % 11 5

 

Return on working capital (P/WC)

  Dec 31 Dec 31
SEKm 2025 2024
EBITA (roll 12 months) 1,417 1,159
Inventories, average 1,713 1,743
Accounts receivable, average 1,586 1,537
Accounts payable, average -1,013 -996
Working capital, average 2,286 2,284
Return on working capital, % 62 51

 

EBITA and EBITDA

  Q4 Q4 Full year Full year
SEKm 2025 2024 2025 2024
Operating profit 393 229 993 721
Amortization and impairment of intangible assets 104 117 424 438
EBITA 497 346 1,417 1,159
Depreciation and impairment of tangible assets 105 98 385 374
EBITDA 602 444 1,802 1,533

Adjusted EBITA

  Q4 Q4 Full year Full year
SEKm 2025 2024 2025 2024
EBITA 497 346 1,417 1,159
One-off costs        
Restructuring reserve Camanio 10
Revalued contingent consideration 0 -4
Sale of business -158 -158
Adjusted EBITA 339 346 1,259 1,165

 

EBITA margin / Adjusted EBITA margin 

  Q4 Q4 Full year Full year
SEKm 2025 2024 2025 2024
EBITA 497 346 1,417 1,159
Net sales 2,733 2,818 10,442 10,286
EBITA margin, % 18.2 12.3 13.6 11.3
         
Adjusted EBITA 339 346 1,259 1,165
Adjusted EBITA margin, % 12.4 12.3 12.1 11.3

 

Organic growth

  Labtech   Medtech   The Group¹
  Q4 Q4   Q4 Q4   Q4 Q4
% 2025 2024   2025 2024   2025 2024
Total growth -6.0 8.8   -0.9 12.0   -3.0 10.7
(-) Currency effect -3.2 -0.1   -5.0 0.9   -4.4 0.5
(-) Acquired growth 0.2 3.2   1.0   0.7 1.3
Organic growth -3.0 5.7   3.1 11.1   0.7 8.9
                 
  Labtech   Medtech   The Group¹
  Q4 Q4   Q4 Q4   Q4 Q4
SEKm 2025 2024   2025 2024   2025 2024
Total growth -68 93   -16 180   -85 273
(-) Currency effect -36 -1   -86 13   -124 12
(-) Acquired growth 2 34   17   20 34
Organic growth -34 60   53 167   19 227
  Labtech   Medtech   The Group¹
  Full year Full year   Full year Full year   Full year Full year
% 2025 2024   2025 2024   2025 2024
Total growth 4.1 4.0   0.0 7.5   1.5 6.2
(-) Currency effect -2.7 -0.5   -3.2 0.2   -3.0 -0.1
(-) Acquired growth 1.4 1.6   1.0   1.1 0.6
Organic growth 5.4 2.9   2.2 7.3   3.4 5.7
                 
  Labtech   Medtech   The Group¹
  Full year Full year   Full year Full year   Full year Full year
SEKm 2025 2024   2025 2024   2025 2024
Total growth 156 145   -1 454   156 601
(-) Currency effect -101 -20   -208 11   -310 -9
(-) Acquired growth 53 57   64   118 57
Organic growth 204 108   143 443   348 553
¹The Group includes eliminations                

 

Profit growth EBITA / Profit growth adjusted EBITA

  Dec 31 Dec 31
SEKm 2025 2024
EBITA (roll 12 months) 1,417 1,159
(-) Previous year's EBITA (rolling 12 months) 1,159 1,135
EBITA growth 258 24
Profit growth EBITA, % 22 2
     
Adjusted EBITA (roll 12 months) 1,259 1,165
(-) Previous year's adjusted EBITA (rolling 12 months) 1,165 1,015
Adjusted EBITA growth 94 150
Profit growth adjusted EBITA, % 8 14

 

Financial net liabilities and Net debt/equity ratio

  Dec 31 Dec 31
SEKm 2025 2024
Borrowing 4,146 4,434
Cash and cash equivalents -813 -331
Financial net debt 3,333 4,103
Pension liability 58 62
Lease liability 504 531
Contingent considerations 124 106
Provisions 29 118
Net interest-bearing deb 4,048 4,920
Total equity 5,447 5,309
Net debt/equity ratio, multiple 0.7 0.9

 

Financial net liabilities/EBlTDA

  Dec 31 Dec 31
SEKm 2025 2024
Net interest-bearing deb 4,048 4,920
EBITDA (roll 12 months) 1,802 1,533
Financial net liabilities/EBITDA, multiple 2.2 3.2

 

Equity ratio

  Dec 31 Dec 31
SEKm 2025 2024
Total equity 5,447 5,309
Total assets 12,711 13,055
Equity ratio, % 43 41

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