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Lagercrantz Group AB Class B (GB:0RB7)
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Lagercrantz Group AB Class B (0RB7) Financial Statements

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Lagercrantz Group AB Class B Financial Overview

Lagercrantz Group AB Class B's market cap is currently ―. The company's EPS TTM is kr4.422; its P/E ratio is 43.96; and it has a dividend yield of 1.02%. Lagercrantz Group AB Class B is scheduled to report earnings on January 31, 2025, and the estimated EPS forecast is kr1.16. See an overview of income statement, balance sheet, and cash flow financials.
Dec 22Sep 22Jun 22Mar 22Dec 21
Income Statement-
Total Revenuekr 1.94Bkr 1.67Bkr 1.60Bkr 1.57Bkr 1.41B
Gross Profitkr 725.00Mkr 627.00Mkr 602.00Mkr 598.00Mkr 539.00M
EBITkr 285.00Mkr 240.00Mkr 234.00Mkr 222.00Mkr 198.00M
EBITDAkr 285.00Mkr 240.00Mkr 234.00Mkr 222.00Mkr 198.00M
Net Income Common Stockholderskr 199.00Mkr 168.00Mkr 179.00Mkr 169.00Mkr 148.00M
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investmentskr 374.00Mkr 330.00Mkr 260.00Mkr 210.00Mkr 159.00M
Total Assetskr 8.02Bkr 7.71Bkr 7.14Bkr 6.21Bkr 5.57B
Total Debtkr 0.00kr 0.00kr 0.00kr 2.16Bkr 0.00
Net Debtkr -374.00Mkr -330.00Mkr -260.00Mkr 1.95Bkr -159.00M
Total Liabilitieskr 5.23Bkr 5.38Bkr 4.74Bkr 3.98Bkr 3.57B
Stockholders Equitykr 2.79Bkr 2.34Bkr 2.40Bkr 2.23Bkr 2.00B
Cash Flow-
Free Cash Flowkr 439.00Mkr 211.00Mkr 2.00Mkr 45.00Mkr 172.00M
Operating Cash Flowkr 439.00Mkr 211.00Mkr 2.00Mkr 168.00Mkr 172.00M
Investing Cash Flowkr -123.00Mkr -309.00Mkr -488.00Mkr -274.00Mkr -70.00M
Financing Cash Flowkr -275.00Mkr 163.00Mkr 534.00Mkr 152.00Mkr -133.00M
Currency in SEK

Lagercrantz Group AB Class B Earnings and Revenue History

Lagercrantz Group AB Class B Debt to Assets

Lagercrantz Group AB Class B Cash Flow

Lagercrantz Group AB Class B Forecast EPS vs Actual EPS

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