Bambora Device AB is a Swedish AB based in Stockholm, operating in the Wholesale of information and communication equipment sector. Incorporated in 2002, the company has 65 employees and reported revenue of SEK 135.5m in its latest annual filing.
| Revenue | 135.5M SEK | -14% |
| EBITDA | -16.8M SEK | -162% |
| Net profit | 0M SEK | -100% |
| Total assets | 227.2M SEK | +5% |
| Equity | 153.6M SEK | 0% |
| Employees | 65 | — |
In its most recent annual report (2024), Bambora Device AB reported revenue of SEK 135.5m, a decrease of 14% on the year before. The figures on this page draw on 5 annual filings covering 2020 to 2024. The bottom line showed a net profit of SEK 30.0k, and the EBITDA margin stood at -12.4%.
At the end of 2024, equity financed 67.6% of the balance sheet, and current assets covered short-term debt 2 times.
| Item | 2024 | 2023 | 2022 | 2021 | 2020 |
|---|---|---|---|---|---|
| Revenue | 135,520 | 157,882 | 157,679 | 154,980 | 163,519 |
| Staff expenses | — | — | — | — | — |
| EBITDA | -16,763 | 27,001 | 36,862 | 52,122 | 34,619 |
| Depreciation & amort. | -30,231 | -29,655 | -55,498 | -42,189 | -47,685 |
| EBIT | -46,994 | -2,654 | -18,636 | 9,933 | -13,066 |
| Net financials | -9,371 | -4,088 | -2,350 | -552 | -1,887 |
| Profit before tax | 188 | 73,071 | 25,981 | 998 | 2,792 |
| Tax | -158 | -15,111 | -5,354 | 533 | -1,099 |
| Net profit | 30 | 57,960 | 20,627 | 1,531 | 1,693 |
| Item | 2024 | 2023 | 2022 | 2021 | 2020 |
|---|---|---|---|---|---|
| Total assets | 227,240 | 215,475 | 159,880 | 147,876 | 169,627 |
| Equity | 153,562 | 153,517 | 92,000 | 90,343 | 88,940 |
| Long-term debt | 0 | 0 | 0 | 0 | 0 |
| Short-term debt | 73,678 | 61,957 | 67,880 | 57,533 | 80,687 |
| Total debt | 73,678 | 61,957 | 67,880 | 57,533 | 80,687 |
28 financial ratios from the latest filing, each graded against companies in the same industry.
EBIT as a share of revenue — the share of revenue remaining as earnings once all operating costs are covered. A key measure of earning power.
The profit for the year as a share of revenue — the company's ability to turn revenue into profit.
Net profit as a percentage of equity — the return the owners earned on their invested capital this year.
Net profit as a percentage of total assets — the return generated on the capital employed.
Profit relative to net assets (total assets minus total debt) — the ability to generate earnings from the net asset base alone.
EBIT relative to total assets — the company's earning power before the effects of tax and financial leverage.
The gross result as a share of revenue — how much of the revenue is left after variable costs to cover the company's fixed costs.
Shows how strongly fixed costs weigh on the gross result — a high ratio means fixed costs take only a small bite out of the earnings from basic operations.
Current assets relative to short-term debt — the ability to settle short-term obligations with current assets alone. Around 150% is considered satisfactory from a credit perspective.
Current assets excluding inventory relative to short-term debt — whether the most liquid assets alone can cover the short-term obligations. A value of 1 or above signals a healthy liquidity position.
Cash relative to short-term debt — the ability to repay short-term obligations with cash alone.
Current assets relative to equity — an indicator of the balance-sheet structure and of the company's short- and long-term financing. The healthy level is highly industry-dependent.
Fixed assets relative to long-term capital (equity plus long-term liabilities). Below 100% means the long-term capital finances more than just the fixed assets — a healthier liquidity position.
Cash flow relative to profit — the ability to convert reported profits into accessible cash.
Equity as a share of total assets — the ability to absorb losses. Around 40% is considered satisfactory from a credit perspective.
Total debt relative to the balance-sheet total — the share of the assets financed by debt rather than equity.
Debt relative to equity — the company's leverage. A higher value means heavier reliance on debt financing.
Total liabilities relative to equity — whether the company operates primarily on borrowed capital or on its own.
Profit relative to debt — the ability to create earnings while operating with debt.
EBITDA relative to debt — how much operating earnings are available to service the debt.
The ability to pay the interest on the company's debt out of its earnings.
Financial expenses relative to total liabilities — the effective interest rate the company pays on its debt.
The return on assets minus the interest rate on debt. Positive means the company benefits from operating with debt; negative means the debt makes it worse off.
Revenue relative to total assets — the ability to generate revenue from the asset base.
Revenue relative to inventory — how many times a year the inventory is sold and replaced. A low value can indicate weak sales or excess inventory.
Total equity relative to the capital the owners contributed — how the equity has developed from its starting point.
The size of this year's increase or decrease in the company's equity.
The size of this year's increase or decrease in the company's debt.
| Name | Role | Member since |
|---|---|---|
| Current (3) | ||
JG Chief Auditor | Chief Auditor | 2024 |
ML External Signatory | External Signatory | 2020 |
AM External Signatory | External Signatory | 2020 |
KJ External Signatory | External Signatory | 2020 – 2021 |
DB Chief Auditor | Chief Auditor | 2020 – 2022 |
HC External Signatory | External Signatory | 2020 – 2021 |
AR Chief Executive Officer | Chief Executive Officer | 2021 – 2025 |
GB External Signatory | External Signatory | 2020 – 2021 |
MJ Chief Auditor | Chief Auditor | 2022 – 2023 |
HE Chief Auditor | Chief Auditor | 2022 – 2024 |
EC Chief Auditor | Chief Auditor | 2022 – 2022 |
CP External Signatory | External Signatory | 2020 – 2024 |
| Name | Role | Member since |
|---|---|---|
| Current (3) | ||
PD Chairman | Chairman | 2025 |
PP Board of Directors | Board of Directors | 2025 |
LT Board of Directors | Board of Directors | 2021 |
AR Chairman | Chairman | 2021 – 2025 |
WA Board of Directors | Board of Directors | 2020 – 2021 |
JO Chairman | Chairman | 2020 – 2021 |
LP Board of Directors | Board of Directors | 2021 – 2021 |
VH Board of Directors | Board of Directors | 2022 – 2025 |
| Shareholder | Type | Ownership | Votes | Registered |
|---|---|---|---|---|
| Company | 100% | 100% | 0001 |
| Person | Role here | Other companies |
|---|---|---|
| Johan Gustav Magnus Holgersson | Chief Auditor | 160 companiesMany roles |
| Dan Beitner | Chief Auditor | 99 companiesMany roles |
| Malin Johanna Lüning | Chief Auditor | 50 companiesMany roles |
| Johan Olof Tjärnberg | Chairman | 21 companiesMany roles |
| Lars Tomas Falkner | Board of Directors | 17 companiesMany roles |
| Hedvig Elisabet Kristina Jonzon | Chief Auditor | 8 companiesMany roles |
| Emil Christoffer Hemming Helgesen | Chief Auditor | 7 companiesMany roles |
| Anja Maria Wilken Gedal | External Signatory | 6 companiesMany roles |
| Mette Lykke Vibe | External Signatory | 5 companies |
| Hanna Caroline Walukiewicz Arthur | External Signatory | 4 companies |
| Karin Johanna Edfeldt | External Signatory | 3 companies |
| Claes Peter Holger Nyströmer | External Signatory | 3 companies |
| Annika Rolandsdotter Bolinder | Chief Executive Officer | 2 companies |
| Gustaf Björn Holm | External Signatory | 2 companies |
| Philip Daniel Trocmé | Chairman | 2 companies |
| William Alan Jean Brian Grant | Board of Directors | 2 companies |
| Leif Peter Nilsson | Board of Directors | 1 company |
| Viveca Helen Samuelsson | Board of Directors | 1 company |