Taaleri publishes reports outlining its financial position and performance quarterly.

The company’s key figures are summarised in the key figures table, which presents the latest published figures and comparison data from the previous corresponding period and from the five preceding years.

Income Statement, Balance Sheet and Cash Flow StatemenT and Key Figures

Group key figures 2020 2019 2018 2017 2016 2015 Long-term target
Earnings key figures
Continuing earnings, MEUR 59.2 55.3 52.0 48,9 39.9 40.6
Continuing earnings growth, % 7.1 6.3 6.3 N/A N/A N/A >15.0
Income, MEUR 69.4 67.2 72.5 81.0 60.6 58.4
Operating profit, MEUR 17.5 16.5 23.9 27.6 16.3 20.1
Operating profit, % 25.3 24.5 33.0 34.1 27.0 34.4 > 25.0
Profit for the period, MEUR 13.1 11.5 21.6 21.8 12.8 16.8
Return on equity, % 10.1 9.3 18.9 21.8 13.4 24.9 > 15.0
Balance sheet key figures
Equity ratio, % 49.7 46.6 51.4 46.3 44.0 44.8
Group's capital adequacy ratio, % 216.2 207.4* 186.0 251.2 268.9 259.2
Per share key figures
Earnings per share, EUR 0.46 0.39 0.76 0.76 0.45 0.55
Equity per share, EUR 4.75 4.45 4.26 3.73 3.30 3.35
Share closing price, EUR 8.12 8.42 7.10 10.35 8.24 8.38
Other key figures
Cost/income ratio 74.6 74.7 67.0 66.2 73.2 67.5
Average full time employees 192 186 183 175 167 163
Marketcap, MEUR 230 238 201 293 233 237
Assets under management, BEUR 7.6 7.1 5.7 5.6 4.8 3.9
Guaranty insurance portfolio, BEUR 1.8 1.8 1.7 1.5 1.32 1.16
*Capital adequacy ratio includes the Board of Director’s dividend proposal for 2019, of which the Board of Directors has decided on 18 February 2021 not to distribute EUR 4.5 million