Boliden AB (publ) (LON:0YAL)
London flag London · Delayed Price · Currency is GBP · Price in SEK
624.85
-39.33 (-5.92%)
At close: Feb 5, 2026

Boliden AB Balance Sheet

Millions SEK. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
9,2377,0524,97812,1598,251
Cash & Short-Term Investments
9,2377,0524,97812,1598,251
Cash Growth
30.98%41.66%-59.06%47.36%63.06%
Accounts Receivable
5,5585,5633,9643,8302,873
Other Receivables
2,1793,0061,5511,121891
Receivables
7,7378,5695,5154,9513,764
Inventory
24,07822,00021,98722,27818,000
Prepaid Expenses
-357293367182
Other Current Assets
407475318171161
Total Current Assets
41,45938,45333,09139,92630,358
Property, Plant & Equipment
97,67173,81764,62052,03645,914
Long-Term Investments
2015131515
Goodwill
-3,2773,2403,2953,153
Other Intangible Assets
3,278404960305
Long-Term Deferred Tax Assets
103234136116174
Long-Term Deferred Charges
-148248178158
Other Long-Term Assets
865208560750472
Total Assets
143,396116,192101,95796,37680,549
Accounts Payable
14,17213,62610,91510,3358,812
Accrued Expenses
-3,5002,8892,8382,436
Current Portion of Long-Term Debt
1,6764,8562,962350-
Current Portion of Leases
152151506438
Current Income Taxes Payable
1,349291410728233
Other Current Liabilities
7,0506501,1701,517926
Total Current Liabilities
24,39923,07418,39615,83212,445
Long-Term Debt
21,76111,20111,46210,6395,993
Long-Term Leases
206299108139131
Pension & Post-Retirement Benefits
1,1701,2081,1289531,180
Long-Term Deferred Tax Liabilities
5,9454,3293,4543,3413,360
Other Long-Term Liabilities
13,37811,07010,9907,1476,559
Total Liabilities
66,85951,18145,53838,05129,668
Common Stock
76,513579579579579
Additional Paid-In Capital
-5,9405,9405,9405,940
Retained Earnings
-56,37148,39549,58144,281
Comprehensive Income & Other
-2,1021,4902,21166
Total Common Equity
76,51364,99256,40458,31150,866
Minority Interest
2419151415
Shareholders' Equity
76,53765,01156,41958,32550,881
Total Liabilities & Equity
143,396116,192101,95796,37680,549
Total Debt
23,79516,50714,58211,1926,162
Net Cash (Debt)
-14,558-9,455-9,6049672,089
Net Cash Growth
----53.71%-
Net Cash Per Share
-51.69-34.57-35.113.547.64
Filing Date Shares Outstanding
283.96273.47273.47273.51273.51
Total Common Shares Outstanding
283.96273.47273.47273.51273.51
Working Capital
17,06015,37914,69524,09417,913
Book Value Per Share
269.45237.66206.25213.19185.97
Tangible Book Value
73,23561,67553,11554,95647,408
Tangible Book Value Per Share
257.91225.53194.23200.93173.33
Buildings
-18,73916,37115,93714,917
Machinery
-37,27168,43063,73759,971
Construction In Progress
-19,50416,3908,0543,142
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.