About Us

Financial information

Triona is a company with a strong financial position.

We have good solidity and a positive cash flow. This means that we have good long-term financial stability and that customers, suppliers, and employees can feel safe when working with us.

Annual summary

  2021 2020 2019 2018 2017 2016 2015 2014
Revenues (MSEK) 182,8 172,7 181,0 162,6 148,3 141,3 137,0 141,0
Result EBIT (MSEK) 5,4 6,5 12,7 12,3 12,4 12,8 5,5 3,4
Balance sheet total (MSEK) 131,8 91,8 92,1 88,4 89,8 83,7 78,1 74,3
Number of yearly employed 155 151 143 131 123 117 118 121
Solvency Ratio (%) 41 60 67 67 72 75 71 73
Earnings per share, SEK 0,69 0,93 1,76 1,53 1,57 1,92 0,66 0,43

Cash flow from operating activities amounted to MSEK 13.1 in 2021.

Further financial information is available under Financial reports.