Financial data

Condensed statement of financial position            
SEK thousand Q4 2019 Q3 2019 Q2 2019 Q1 2019 Q4 2018 Q3 2018
Assets        
Cash and balances at central banks 220,799 98,683 98,571 97,142 63,215 66,902
Treasury and other bills eligible for refinancing 1,758,835 1,632,812 1,077,626 1,753,579 1,009,021 870,091
Lending to credit institutions 4,128,953 5,009,235 3,878,240 4,364,841 3,703,650 3,214,228
Lending to the public 31,344,787 31,125,342 30,322,736 29,182,201 27,956,576 27,469,905
Bonds and other interest-bearing securities 1,288,954 1,273,444 1,351,857 1,505,037 1,262,568 2,259,655
Subordinated debt 28,290 28,414 28,127 27,722 27,317 27,871
Shares and participating interests 95,823 75,922 73,922 74,707 68,556 78,104
Intangible fixed assets 2,063,405 2,079,577 2,089,941 2,044,818 1,973,681 2,028,646
Tangible assets 139,871 148,556 158,472 166,328 56,228 55,930
Reinsurers' share in technical provisions 3,876 4,388 4,059 4,635 4,267 4,362
Other assets 253,526 210,455 354,409 389,484 422,728 276,899
Prepaid expenses and accrued income 421,629 308,854 304,815 301,686 407,665 262,510
TOTAL ASSETS 41,748,748 41,995,682 39,742,775 39,912,180 36,955,472 36,615,103
         
Liabilities, provisions and equity        
Liabilities and provisions        
Liabilities to credit institutions 94,900     149,900 0
Deposits and borrowing from the public 24,409,032 24,581,292 22,964,774 22,872,991 20,578,153 20,095,758
Other liabilities 1,015,578 1,051,660 1,036,972 1,027,363 1,010,465 949,425
Accrued expenses and deferred income 211,861 365,237 299,619 255,493 183,080 329,900
Technical provisions 585,557 588,744 567,109 559,188 532,115 515,907
Other provisions 20,337 22,915 23,323 23,404 22,861 25,174
Issued securities 7,672,347 7,850,188 7,626,178 7,882,675 7,832,186 7,889,465
Subordinated debt 597,890 597,686 597,482 597,280 298,171 341,452
Total liabilities and provisions 34,607,502 35,057,722 33,115,457 33,218,394 30,606,931 30,147,081
         
Equity        
Share capital 1,000 1,000 1,000 1,000 1,000 1,000
Other paid-in capital 2,082,505 2,082,526 2,082,526 2,086,305 2,086,305 2,087,236
Translation reserve 66,206 89,322 98,880 84,413 33,044 105,442
Additional Tier 1 instruments 300,000        
Retained earnings incl. profit for the period 4,691,535 4,765,112 4,444,912 4,522,068 4,228,192 4,274,344
Total equity 7,141,246 6,937,960 6,627,318 6,693,786 6,348,541 6,468,022
         
TOTAL LIABILITIES, PROVISIONS AND EQUITY 41,748,748 41,995,682 39,742,775 39,912,180 36,955,472 36,615,103