
A strong and resilient business built for long-term value creation.
Investing in Skanska makes you an owner of one of the world’s leading construction and project development groups. We deliver resilient and sustainable places that contribute to a better society – creating long-term value for customers, shareholders and society.
Generating stable profits and cash flow in Construction
Generating value growth and stable cash flow through active property asset management
Developing commercial and residential projects with the most attractive and desired qualities and locations on our markets
40-70% of our profit for the year is distributed through dividends, providing solid returns for our shareholders
Our Construction business generates stable profits and positive cash flow. Together with external funding, we invest in Project Development and Investment Properties. This allows us to generate attractive returns on invested capital, and provide new contracts to the Construction stream, resulting in further profits. By growing Investment Properties, we increase the proportion of stable, cash flow-generating operations within the Group.

*Rolling 12 months per Q1 2026
Operating margin* - Construction
Return on capital employed* - Project development
4.2%
2.1%
Target: ≥3.5%
Target: ≥10%
Return on capital employed* - Investment properties
Return on equity
4.7%
10.4%
Target: ≥6%
Target: ≥18%
Adjusted net debt (-)/Net cash(+)
Reduction of CO2 compared to 2015 (Scope 1 & 2)
+9.5 SEK bn
-66%
Limit: -10 SEK bn
Net zero target: 2045