Key figures
2011 2010 Profit for the year, SEKm 11 744 7 444 Return on equity, % 12,2 8,1 Core Tier 1 capital ratio (Basel 2), % 15,7 13,9 Cost/income ratio 0,53 0,57 Credit impairment ratio, % -0,14 0,2 Share of impaired loans, gross, % 1,87 2,53 Risk-weighted assets (Basel 2), SEKbn 492 541 Total assets, SEKbn 1 857 1 716 Lending to the public, SEKbn * 1 166 1 146 Deposits from the public, SEKbn * 547 517 Full-time employees 16 287 0 * Excluding the Swedish National Debt Office and repos

