» Non-Financial

Company Directors
Company Advisors
New & Press Releases
Directors Share Dealings
Major Shareholders
Company Subsidiary Calendar of Future Events
Company Name Change
Company Status Change

» Analyst Spreadsheet

Quick View(PDF)
Download Analyst Template
Analyst Spreadsheet
Download Master Template
Annual Master Spreadsheet
Quarterly Master Spreadsheet
Annual & Quaterly Master Spreadsheet
Valuation Model Template
Valuation Model Spreadsheet
Business Risk(PDF)
Credit Metrics(PDF)
Annual Reports

For all products and/or service inquiries or to learn more about how WVB customer service solutions can reduce your service costs while increasing customer satisfaction, email us at .


WVB Number : SWE000030456 Country : Kingdom of Sweden
SIC categorization : REAL ESTATE AGENTS & MGRS (6531) ISIN : SE0000549412
FT categorization : REAL ESTATE (161)  
Company status: ACTIVE  

» Corporation Profile :

Profile in brief:
Kungsleden AB is a company which active in the real estate sector. It is engaged in the ownership and management of properties. Its operations are organized into three divisions that are responsible for the management and letting of their respective property holdings. The Commercial Properties division concentrates mainly on the Office, Industrial or warehouse, as well as Retail property types. The Public Properties division includes properties of the types Retirement Home, School and Care, as well as Retirement Homes Germany.
Phone : 46 8 503 05200 Fax : 8 503 05201
CEO/Managing Director : BILJANA PEHRSSON

» Company Facts

Net Profit Margin (%) 86.16  
Operating Margin (%) 123.82  
Return on Assets (%) 6.14  
Return on Equity (%) 13.72  
Employees 109  

» Company Financials

  Annual (2018)
Income Statement
('000 SEK )
Sales/Total Revenue 2,385,000  
EBITDA 1,495,000  
EBIT 1,490,000  
Net Income 2,055,000  
Balance Sheet
( '000 SEK)
Total Current Assets 677,000  
Total Assets 35,394,000  
Current Liabilities 2,246,000  
Total Liabilities & Debt 19,627,000  
Total Equity 15,767,000  
Cash & Flow
( '000 SEK)
Net Income/Staring Line 1,124,000  
Cash from Operating 1,127,000  
Cash from Investing -2,337,000  
Cash from Financing 1,368,000  
Cash & Equivalent Yr End 471,000