Note Inventories
Note Cash and cash equivalents
100
Group
2019 2018
Cash equivalents 874 712
Current investments 108 25
Total 982 737
19
Group
2019 2018
Raw materials and consumables 4,071 2,905
Goods in transit 576 289
Work in progress 1,199 832
Finished products and goods for resale 835 679
Total according to balance sheet 6,681 4,705
Change in fair value 251 -1
Inventory at fair value 6,932 4,704
”Raw materials and consumables and changes in inventories of finished products and work in progress” for the Group includes impairment loss on inventories of SEK 25 million (28).
18