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Sveafastigheter publ AB
Previous close
kr 42.90
Day range
kr 42.48 - kr 43.02
Year range
kr 29.12 - kr 46.00
Market cap
8.50B SEK
Avg Volume
659.55K
P/E ratio
-
Dividend yield
-
Primary exchange
STO
In the news
Financials
Income Statement
Revenue
Net income
| (SEK) | Jun 2025info | Y/Y change | 
|---|---|---|
| Revenue | 383.00M | -24.31% | 
| Operating expense | 58.00M | -19.44% | 
| Net income | -155.00M | 52.89% | 
| Net profit margin | -40.47 | 37.76% | 
| Earnings per share | -0.78 | — | 
| EBITDA | 210.25M | -34.76% | 
| Effective tax rate | -21.09% | — | 
Balance Sheet
Total assets
Total liabilities
| (SEK) | Jun 2025info | Y/Y change | 
|---|---|---|
| Cash and short-term investments | 1.16B | 26.64% | 
| Total assets | 30.40B | 4.63% | 
| Total liabilities | 15.68B | 8.37% | 
| Total equity | 14.73B | — | 
| Shares outstanding | 200.00M | — | 
| Price to book | 0.58 | — | 
| Return on assets | 1.76% | — | 
| Return on capital | 1.89% | — | 
Cash Flow
Net change in cash
| (SEK) | Jun 2025info | Y/Y change | 
|---|---|---|
| Net income | -155.00M | 52.89% | 
| Cash from operations | 249.00M | -25.67% | 
| Cash from investing | -481.00M | -40.64% | 
| Cash from financing | 1.21B | 102.52% | 
| Net change in cash | 974.00M | 65.08% | 
| Free cash flow | 173.75M | — | 
About
Founded
2014
Website
Employees
144
