Financial goals | Policy | Result 2023 |
---|---|---|
Interest coverage ratio | Min 2,0 times | 2,1 |
Loan-to-value ratio | Max 50% | 45% |
Solidity | Min 30% | 47% |
Funding risk | ||
Loan maturity 12 month | Max 30% of total debt portfolio | 10% |
Liquid funds | Min 50 MSEK | 195 |
Interest rate risk | ||
Average fixed interest rate | 3,0-7,0 year | 2,2 |
Interest due within 12 months | Max 40% | 32% |