METSÄ BOARD Annual review 2024
EUR
2024
2023
EUR
2024
2023
8. Income taxes
Land and water areas Acquisition costs 1.1.
Business operations and value creation 2 This is Metsä Board 4 CEO’s review 6
30,046,800.51
26,340,456.62 4,768,400.00 -1,062,056.11
Taxes for the financial year
-7,849,008.63
Increases
Taxes for previous financial years
520,766.17 2,143,716.07 2,664,482.24
-67.52
Decreases
-125,833.63
Deferred taxes
5,818.20
Transfers between items
-858.33
Total
-7,843,257.95
Acquisition costs 31.12.
29,920,108.55
30,046,800.51
Strategy and financial targets
9. Intangible and tangible assets
Accumulated depreciation and impairment charges 1.1.
-20.20 -20.20
-20.20 -20.20
8
Value creation
Accumulated depreciation and impairment on 31.12.
Intangible rights Acquisition costs 1.1.
Book value 31.12.
29,920,088.35
30,046,780.31
50,806,946.50 2,446,259.76 -4,804,718.25
51,304,534.70 8,566,067.13 -9,071,775.42
Financial development 10 Key figures 12
Increases Decreases
Buildings and constructions Acquisition costs 1.1.
349,321,797.65 11,275,661.01 -186,016.75 2,515,500.29 362,926,942.20
326,310,652.31 8,832,311.77 -1,492,068.30 15,670,901.87 349,321,797.65 -199,214,662.37 1,492,068.30 -9,289,313.76 -207,011,907.83 142,309,889.82 1,312,182,737.66 33,111,908.38 -13,461,281.06 25,708,599.67 1,357,541,964.65
Transfers between items Acquisition costs 31.12.
83,342.00
8,120.09
Report of the Board of Directors
Increases Decreases
48,531,830.01
50,806,946.50
20 20 37 70 89 96
• Sustainability statement
Transfers between items Acquisition costs 31.12.
Accumulated depreciation and impairment charges 1.1. Accumulated depreciation of deductions and transfers Depreciation and write-downs for the financial period
-39,717,024.84
-39,943,768.16 1,708,325.42
General information
E – Environment
-1,135,921.50
-961,615.18 -519,966.92
Accumulated depreciation and impairment charges 1.1. Accumulated depreciation of deductions and transfers Depreciation and write-downs for the financial year Accumulated depreciation and impairment on 31.12.
-207,011,907.83
S – Social responsibility
Impairments
186,016.75
Accumulated depreciation and impairment 31.12.
-40,852,946.34
-39,717,024.84 11,089,921.66
G – Governance
-9,864,043.20
Book value 31.12.
7,678,883.67
Annexes to the Sustainability statement
-216,689,934.28 146,237,007.92
Book value 31.12.
Other intangible assets Acquisition costs 1.1.
98 Consolidated financial statements 102 Notes to the consolidated financial statements 150 Parent company financial statements 153 Notes to the parent company financial statements 166 The Board’s proposal to the Annual General Meeting for the distribution of funds 167 Auditor’s Report 171 Sustainability statement assurance report 173 Shares and shareholders 177 Ten years in figures 178 Taxes 179 Production capacities 181 Calculation of key ratios and comparable performance measures Corporate governance 183 Corporate governance statement 190 • Board of Directors of Metsä Board 194 • Corporate Management Team of Metsä Board
8,836,983.38 668,656.75
8,665,493.18 132,558.44
Machinery and equipment Acquisition costs 1.1.
Increases Decreases
1,357,541,964.65 52,538,316.44 -4,684,968.66 36,657,205.81 1,442,052,518.24
-8,005.74 46,937.50
Increases Decreases
Transfers between items Acquisition costs 31.12.
6,958,431.91 16,464,072.04
8,836,983.38
Transfers between items Acquisition costs 31.12.
Accumulated depreciation and impairment charges 1.1. Accumulated depreciation of deductions and transfers Depreciation and write-downs for the financial period
-8,324,945.13
-8,233,482.01
8,745.77
Accumulated depreciation and impairment charges 1.1. Accumulated depreciation of deductions and transfers Depreciation and write-downs for the financial year Accumulated depreciation and impairment on 31.12.
-1,097,600,338.66
-1,072,253,700.09
-111,612.13
-100,208.89
4,684,968.66 -42,107,917.40
13,401,199.51 -38,747,838.08
Impairments
-7,624,259.37 -16,060,816.63
Accumulated depreciation and impairment 31.12.
-8,324,945.13
-1,135,023,287.40 307,029,230.84
-1,097,600,338.66 259,941,625.99
Book value 31.12.
403,255.41
512,038.25
Book value 31.12.
Advance payments and work in progress Acquisition costs 1.1.
Other tangible assets Acquisition costs 1.1.
8,256,659.20 27,062,814.62 -7,041,773.91 28,277,699.91
133,093.84 8,123,565.36
14,682,292.06
14,657,784.12
Increases
Increases
236,903.55 160,163.72
24,507.94
Transfers between items
Transfers between items Acquisition costs 31.12.
Acquisition costs 31.12.
8,256,659.20
15,079,359.33
14,682,292.06
Intangible assets total Acquisition costs 1.1.
Accumulated depreciation and impairment charges 1.1. Depreciation and write-downs for the financial year Accumulated depreciation and impairment on 31.12.
-7,847,278.79 -785,980.02 -8,633,258.81 6,446,100.52
-7,028,054.32 -819,224.47 -7,847,278.79 6,835,013.27
67,900,589.08 30,177,731.13 -4,804,718.25
60,103,121.72 16,822,190.93 -9,079,781.16
Increases Decreases
Book value 31.12.
Transfers between items
55,057.59
Acquisition costs 31.12.
93,273,601.96
67,900,589.08
Advance payments and work in progress Acquisition costs 1.1.
43,361,374.25 22,640,615.05
60,459,586.34 24,337,087.07
Accumulated depreciation and impairment charges 1.1. Accumulated depreciation of deductions and transfers
-48,041,969.97
-48,177,250.17
Increases Decreases
1,717,071.19
683.00
Depreciation and write-downs for the financial year
-1,247,533.63 -7,624,259.37 -56,913,762.97 36,359,838.99
-1,061,824.07
Transfers between items Acquisition costs 31.12.
-39,332,011.49
-41,435,982.16 43,361,374.25
Impairments
-519,966.92
26,669,977.81
Accumulated depreciation and impairment charges 31.12.
-48,041,969.97
Book value 31.12.
19,858,619.11
196 Remuneration report 201 Investor relations and investor information
156
157
Parent company financial statements | METSÄ BOARD ANNUAL REVIEW 2024
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