Tele2 Finance Luxembourg

ActiveVerified data

SEK 213,060

Total assets 2025 · total of the assets side, as filed

Company information

Company ID

B112873

Filing currency

SEK

Financial years published

2011–2025 · 15 years

Profit and loss account

Most recent filing

2026-04-15

Previously filed as

TELE2 FINANCE LUXEMBOURG S.A.

Data source

STATEC – Centrale des Bilans

What the annual accounts do not carry

A Centrale des Bilans deposit holds the RCS number, the registered name, the currency, the financial year and the amounts — nothing else about the entity. The registered address, the NACE activity code, the date of incorporation, the managers and the shareholders are held by the Trade and Companies Register, which is free to consult one entity at a time and publishes no reusable bulk extract. The beneficial owners register has not been public since the Court of Justice's judgment of 22 November 2022. So that information is absent from this site rather than copied without a right to reuse it.

What gets filed, and by whom

Financials

Amounts in the currency of filing, as they appear in the annual accounts published by the Centrale des Bilans.

Metric202520242023202220212020201920182017201620152014201320122011
Net turnover
Other operating income
Raw materials, consumables and other external expenses
Staff costs
Value adjustments
Other operating charges
Operating result
Interest payable and similar expenses-€4,281,752-€62,448,000
Profit before tax
Tax on profit or loss
Result for the year-SEK 407,523-SEK 428,953-SEK 344,387-SEK 316,358-SEK 90,728SEK 80,285,588SEK 318,512,934SEK 448,924,347SEK 418,474,772SEK 419,210,525SEK 323,535,502SEK 913,207,980€144,849,361€770,000€630,000
Total assetsSEK 213,060SEK 441,022SEK 470,296SEK 766,855SEK 1,164,023SEK 1,402,723SEK 29,448,221,705SEK 29,706,823,587SEK 30,256,008,601SEK 30,456,203,113SEK 35,325,465,326SEK 36,883,697,437€6,103,342,918€5,589,467,000€1,687,402,000
Fixed assetsSEK 24,158,677,278SEK 23,809,583,858SEK 29,407,072,538SEK 29,654,110,253SEK 34,092,157,497SEK 35,762,683,817€6,101,343,598€5,589,464,000€1,687,166,000
Financial assetsSEK 24,158,677,278SEK 23,809,583,858SEK 29,407,072,538SEK 29,654,110,253SEK 34,092,157,497SEK 35,762,683,817€6,101,343,598€5,589,464,000€1,687,166,000
Participating interests
Current assetsSEK 213,060SEK 441,022SEK 470,296SEK 766,855SEK 1,164,023SEK 1,402,723SEK 5,289,544,427SEK 5,897,239,729SEK 848,936,063SEK 802,092,860SEK 1,233,307,828SEK 1,121,013,620€1,999,320€3,000€236,000
Cash at bank and in handSEK 77,646SEK 317,944SEK 347,217SEK 643,776SEK 1,040,944SEK 1,402,723SEK 5,289,302,311SEK 5,602,204,324SEK 15,612,832SEK 25,238SEK 614,918,866SEK 491,017,779€554,256€3,000€3,000
Capital and reserves-SEK 527,362-SEK 119,838SEK 309,115SEK 653,502SEK 969,860SEK 1,060,588SEK 22,318,990SEK 23,806,057SEK 28,881,710SEK 43,406,938SEK 4,196,413SEK 35,349,179,817€5,904,469,065€5,584,492,000€1,032,000
ProvisionsSEK 135,225SEK 286,475SEK 138,700SEK 100,000SEK 194,163SEK 306,000SEK 547,379SEK 547,391SEK 390,000SEK 84,075€0€0
CreditorsSEK 605,196SEK 274,385SEK 22,481SEK 13,354SEK 36,136SEK 29,425,355,336SEK 29,682,470,139SEK 30,226,736,892SEK 30,412,796,175SEK 35,321,184,838SEK 1,534,517,620€54,024,492€4,185,000€1,685,727,000
Creditors due within one yearSEK 605,196SEK 274,385SEK 22,481SEK 13,354SEK 36,136SEK 1,095,809SEK 258,210,612SEK 802,477,365SEK 988,536,649
Creditors due after more than one yearSEK 29,424,259,527SEK 29,424,259,527SEK 29,424,259,527SEK 29,424,259,527
Total liabilitiesSEK 740,421SEK 560,860SEK 161,181SEK 113,354SEK 194,163SEK 342,136SEK 29,425,902,715SEK 29,683,017,530SEK 30,227,126,892SEK 30,412,796,175SEK 35,321,268,913SEK 1,534,517,620€198,873,853€4,975,000€1,686,370,000

Calculated metrics

Calculated by Overit from the published values — these are not figures reported in the reports themselves.

YearRevenue changeProfit changeNet marginEquity / assetsLiabilities / assets
2025+5.0 %-247.5 %+347.5 %
2024-24.6 %-27.2 %+127.2 %
2023-8.9 %+65.7 %+34.3 %
2022-248.7 %+85.2 %+14.8 %
2021-100.1 %+83.3 %+16.7 %
2020-74.8 %+75.6 %+24.4 %
2019-29.0 %+0.1 %+99.9 %
2018+7.3 %+0.1 %+99.9 %
2017-0.2 %+0.1 %+99.9 %
2016+29.6 %+0.1 %+99.9 %
2015-64.6 %+0.0 %+100.0 %
2014+530.5 %+95.8 %+4.2 %
2013+18711.6 %+96.7 %+3.3 %
2012+22.2 %+99.9 %+0.1 %
2011+0.1 %+99.9 %

Verification

92/ 100 · Profile completeness

How much of the public record we hold. It describes our data, not the company — a young company with one filing is not risky for having one filing.

  • Registered name and RCS number
  • Legal form
  • Published balance sheet
  • Published profit and loss account
  • Three or more periods
  • Eight or more periods
  • Recent filing

What the filings say

  • Capital and reserves were negative in 2025: -SEK 527,362. Liabilities exceed assets.
  • Loss-making in 5 consecutive filed periods.

This is not a credit rating. It draws only on public registers — we hold no payment history, no court records and no bank data. Every signal names the year and the figure it came from so it can be checked. Capital and reservesResult for the year

Data sources

Registration and financial data come from official Luxembourg public registers; VAT numbers are validated against the EU VIES system.

Most recent filing included: 2026-04-15

Processed financial years (17)

  • 2025-01-012025-12-31

    CA_BILANABR · 2026-04-15

  • 2024-01-012024-12-31

    CA_BILANABR · 2025-05-14

  • 2023-01-012023-12-31

    CA_BILANABR · 2024-04-04

  • 2022-01-012022-12-31

    CA_BILANABR · 2023-04-06

  • 2021-01-012021-12-31

    CA_BILANABR · 2022-04-07

  • 2020-01-012020-12-31

    CA_BILANABR · 2021-04-06

  • 2019-01-012019-12-31

    CA_BILANABR · 2020-05-11

  • 2018-01-012018-12-31

    CA_BILANABR · 2019-04-03

  • 2017-01-012017-12-31

    CA_BILANABR · 2018-04-03

  • 2016-01-012016-12-31

    CA_BILANABR · 2017-05-03

  • 2015-01-012015-12-31

    CA_BILANABR · 2016-04-13

  • 2014-01-012014-12-31

    CA_BILANABR · 2015-08-18

  • 2013-01-012013-12-31

    CA_BILANSOPARFI · 2014-05-23

  • 2013-01-012013-12-31

    CA_COMPPSOPARFI · 2014-05-23

  • 2012-01-012012-12-31

    CA_BILANSOPARFI · 2013-05-10

  • 2012-01-012012-12-31

    CA_COMPPSOPARFI · 2013-05-10

  • 2011-01-012011-12-31

    CA_BILANSOPARFI · 2012-04-02

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Sources and limits

  • The financial data comes from STATEC's Centrale des Bilans; VAT validation from the EU VIES system.
  • A filer may mark the profit and loss account, or the balance sheet and the profit and loss account together, as confidential. A confidential statement is not published: it is absent, not nil.
  • Luxembourg changed the presentation of the profit and loss account from financial year 2016: the earlier form files a charge as a positive amount on the charges side, the current one as a negative. Charges are shown here as negative for every year, so that one row does not change sign halfway along. The amount as filed remains readable in the Centrale des Bilans files.
  • Calculated metrics (year-over-year changes, margins, ratios) are computed by Overit from the filed values — they are not official figures or a credit rating.