Volvo Car AB (publ.) (VLVOF)
OTCMKTS · Delayed Price · Currency is USD
3.345
0.00 (0.00%)
Feb 11, 2026, 4:00 PM EST

Volvo Car AB (publ.) 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
57,56456,37347,86163,74362,265
Short-Term Investments
1-9,9183,4157,996
Cash & Short-Term Investments
57,56556,37357,77967,15870,261
Cash Growth
2.11%-2.43%-13.97%-4.42%0.83%
Accounts Receivable
21,24122,78019,28425,23918,553
Other Receivables
1,2849,45210,52411,4617,275
Receivables
22,52532,23229,80836,70025,828
Inventory
59,02462,45557,05846,95136,603
Prepaid Expenses
-6,9479,5705,8054,532
Restricted Cash
-1207527364
Other Current Assets
18,6874851,9881,7694,734
Total Current Assets
157,801158,612156,955159,119141,962
Property, Plant & Equipment
99,391107,12484,11377,25271,415
Long-Term Investments
17,45721,75126,20819,9528,696
Other Intangible Assets
82,96534,29649,73137,84522,803
Long-Term Deferred Tax Assets
8,36310,98210,1359,1317,367
Long-Term Deferred Charges
-49,48522,37319,14921,037
Other Long-Term Assets
5,9604,5455,5205,1225,032
Total Assets
373,172388,235356,362330,924283,358
Accounts Payable
57,76856,47962,30468,91348,283
Accrued Expenses
-35,43633,43428,49423,065
Current Portion of Long-Term Debt
3,9926,9937,5972,7554,471
Current Portion of Leases
-2,2791,2661,5151,477
Current Income Taxes Payable
1,3221,2461,6071,5661,402
Current Unearned Revenue
31,26434,99730,81726,09422,929
Other Current Liabilities
56,90832,15323,97120,04124,488
Total Current Liabilities
151,254169,583160,996149,378126,115
Long-Term Debt
33,72322,93322,65326,05520,944
Long-Term Leases
-7,5234,7864,8455,509
Long-Term Unearned Revenue
8,60510,7558,1487,1446,967
Pension & Post-Retirement Benefits
5,8538,1117,6106,88311,961
Long-Term Deferred Tax Liabilities
9,86411,0808,2935,3922,340
Other Long-Term Liabilities
15,49516,05113,39113,94915,010
Total Liabilities
224,794246,036225,877213,646188,846
Common Stock
147,07961616161
Additional Paid-In Capital
-40,10640,10640,10640,107
Retained Earnings
-95,04580,09668,35349,601
Comprehensive Income & Other
-2,2496,1085,427416
Total Common Equity
147,079137,461126,371113,94790,185
Minority Interest
1,2994,7384,1143,3314,327
Shareholders' Equity
148,378142,199130,485117,27894,512
Total Liabilities & Equity
373,172388,235356,362330,924283,358
Total Debt
37,71539,72836,30235,17032,401
Net Cash (Debt)
19,85016,64521,47731,98837,860
Net Cash Growth
19.25%-22.50%-32.86%-15.51%29.09%
Net Cash Per Share
6.685.597.2110.7414.67
Filing Date Shares Outstanding
2,9652,9752,9802,9802,980
Total Common Shares Outstanding
2,9652,9752,9802,9802,980
Working Capital
6,547-10,971-4,0419,74115,847
Book Value Per Share
49.6146.2142.4138.2430.27
Tangible Book Value
64,114103,16576,64076,10267,382
Tangible Book Value Per Share
21.6334.6825.7225.5422.62
Buildings
-33,42230,04527,15124,959
Machinery
-127,481112,832114,590110,086
Construction In Progress
-18,86312,7557,8134,274
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.