Financial data

Condensed statement of financial position            
SEK thousand Q3 2020 Q2 2020 Q1 2020 Q4 2019 Q3 2019 Q2 2019
Assets        
Cash and balances at central banks 215,835 215,493 224,468 220,799 98,683 98,571
Treasury and other bills eligible for refinancing 2,435,051 2,310,352 2,707,885 1,758,835 1,632,812 1,077,626
Lending to credit institutions 4,552,635 4,392,665 3,251,777 4,128,953 5,009,235 3,878,240
Lending to the public 31,187,965 30,853,301 31,147,648 31,344,787 31,125,342 30,322,736
Bonds and other interest-bearing securities 1,171,511 1,172,314 1,143,587 1,288,954 1,273,444 1,351,857
Subordinated debt 24,769 23,988 26,862 28,290 28,414 28,127
Shares and participating interests 101,421 92,854 89,329 95,823 75,922 73,922
Intangible fixed assets 1,932,242 1,956,081 1,958,993 2,063,405 2,079,577 2,089,941
Tangible assets 130,085 135,730 140,303 139,871 148,556 158,472
Reinsurers' share in technical provisions 3,863 3,531 3,939 3,876 4,388 4,059
Other assets 186,495 343,419 372,583 253,526 210,455 197,266
Prepaid expenses and accrued income 372,291 368,116 365,673 421,629 308,854 461,958
TOTAL ASSETS 42,314,163 41,867,844 41,433,047 41,748,748 41,995,682 39,742,775
         
Liabilities, provisions and equity        
Liabilities and provisions        
Liabilities to credit institutions 6,500 159,100 158,300 94,900  
Deposits and borrowing from the public 25,112,446 24,405,266 23,845,802 24,409,032 24,581,292 22,964,774
Other liabilities 918,521 846,283 960,293 1,015,578 1,051,660 1,036,972
Accrued expenses and deferred income 345,307 308,042 245,442 211,861 365,237 299,619
Technical provisions 579,387 558,751 563,521 585,557 588,744 567,109
Other provisions 28,415 25,364 21,244 20,337 22,915 23,323
Issued securities 6,947,292 7,436,727 7,796,690 7,672,347 7,850,188 7,626,178
Subordinated debt 598,498 598,294 598,092 597,890 597,686 597,482
Total liabilities and provisions 34,536,366 34,337,827 34,189,384 34,607,502 35,057,722 33,115,457
         
Equity        
Share capital 1,000 1,000 1,000 1,000 1,000 1,000
Other paid-in capital 2,085,759 2,082,280 2,082,280 2,082,505 2,082,526 2,082,526
Translation reserve -41,075 -33,761 -35,195 66,206 89,322 98,880
Additional Tier 1 instruments 300,000 300,000 300,000 300,000  
Retained earnings incl. profit for the period 5,432,113 5,180,498 4,895,578 4,691,535 4,765,112 4,444,912
Total equity 7,777,797 7,530,017 7,243,663 7,141,246 6,937,960 6,627,318
         
TOTAL LIABILITIES, PROVISIONS AND EQUITY 42,314,163 41,867,844 41,433,047 41,748,748 41,995,682 39,742,775