tiprankstipranks
Trending News
More News >
Investment AB Oresund (SE:ORES)
:ORES
Sweden Market

Investment AB Oresund (ORES) AI Stock Analysis

Compare
0 Followers

Top Page

SE:ORES

Investment AB Oresund

(ORES)

Select Model
Select Model
Select Model
Outperform 78 (OpenAI - 5.2)
Rating:78Outperform
Price Target:
kr161.00
▲(34.62% Upside)
Action:ReiteratedDate:02/01/26
The score is driven primarily by strong financial resilience (very low leverage and solid ongoing cash generation) and an attractive valuation (low P/E with a high dividend yield). Technicals are supportive with the price above major moving averages and positive MACD. The key risk tempering the score is earnings and revenue volatility, including a sharp 2025 revenue decline.
Positive Factors
Very strong balance sheet / extremely low leverage
Extremely low leverage and a large equity base give the company durable financial flexibility. This reduces solvency risk and enables holding through market cycles, funding dividend distributions and opportunistic purchases without needing external financing.
Consistent cash generation and conversion
Persistent positive operating and free cash flow supports repeatable shareholder distributions and funds active stewardship. Reliable cash conversion (near 1:1) underpins sustainable operations and long-term capital allocation, even if growth is uneven.
Long-term, active investment and governance model
A governance-focused, concentrated ownership approach is a durable business model: active engagement can unlock value over time, align management incentives at portfolio companies, and create structural advantages versus passive holders.
Negative Factors
Volatile earnings and large 2025 revenue decline
Large year-to-year swings in revenue and margins reduce earnings visibility and complicate forecasting of dividends and capital returns. For an investment vehicle, NAV and distributable income can move materially, increasing long-term outcome uncertainty.
High dependence on equity markets and investee payouts
Performance and cash generation hinge on market cycles and investee payout decisions. In prolonged market downturns or when portfolio companies cut dividends, the firm’s ability to distribute cash or realize gains is structurally constrained.
Concentrated portfolio amplifies single-name risk
A concentrated holding approach magnifies exposure to a few companies or sectors. While engagement can create upside, poor performance at major holdings can materially reduce NAV and returns, increasing long-term downside volatility.

Investment AB Oresund (ORES) vs. iShares MSCI Sweden ETF (EWD)

Investment AB Oresund Business Overview & Revenue Model

Company DescriptionInvestment AB Oresund is a publicly owned investment manager. Investment AB Oresund was founded in 1890 and is based in Stockholm, Sweden.
How the Company Makes MoneyInvestment AB Öresund makes money mainly through returns generated on its investment portfolio. Key sources include: (1) Dividends and other distributions received from its shareholdings in portfolio companies, which can fund operating expenses and potential shareholder distributions; (2) Capital gains from selling investments at prices above their purchase cost (realized gains) and increases in the market value of listed holdings (unrealized gains reflected in net asset value), driven by market movements and company-specific performance; (3) In some cases, corporate actions involving investee companies (e.g., spin-offs, tender offers, mergers) can generate gains or distributions. The company’s results are therefore strongly influenced by equity market performance, concentration in major holdings, timing of investment exits/entries, and the financial performance and payout policies of its investee companies. Specific material partnerships or customer contracts are not applicable in the way they are for operating companies; earnings depend primarily on portfolio composition, ownership strategy, and capital markets conditions.

Investment AB Oresund Financial Statement Overview

Summary
Very strong balance sheet with extremely low leverage and high financial flexibility (Balance Sheet Score 86). Cash generation is consistently positive with generally solid cash conversion (Cash Flow Score 72). The main drawback is volatile profitability and a sharp revenue decline in 2025, reducing earnings visibility (Income Statement Score 58).
Income Statement
58
Neutral
Profitability is strong in most years, with very high margins in 2021–2024 and a clear rebound from the 2022 loss. However, results are volatile: revenue swings from strongly positive to negative in earlier years, and 2025 shows a sharp revenue decline (-76.8%) and a much lower profit margin versus 2024. Overall, earnings power exists but visibility and stability are weaker than typical due to large year-to-year fluctuations.
Balance Sheet
86
Very Positive
The balance sheet is conservatively positioned with extremely low leverage (debt-to-equity consistently near zero) and a large equity base relative to assets. Returns on equity improved meaningfully into 2024–2025, though they were negative in 2020 and 2022, highlighting that book value is strong but investment/valuation-driven earnings can be uneven. Net-net, solvency risk looks low and financial flexibility is high.
Cash Flow
72
Positive
Cash generation is positive across all shown years, with operating cash flow and free cash flow consistently positive and generally tracking net income closely (near 1:1 conversion most years). That said, free cash flow growth is inconsistent (declines in 2022 and 2025), and operating cash flow dipped in 2025 versus 2024. Overall, cash flow quality is solid, but growth momentum is not steady.
BreakdownDec 2025Dec 2024Dec 2023Dec 2022Dec 2021
Income Statement
Total Revenue171.70M422.15M255.57M-1.67B1.27B
Gross Profit171.70M422.01M255.57M-1.67B1.27B
EBITDA843.30M423.61M229.94M-1.68B1.26B
Net Income859.50M423.49M246.54M-1.68B1.26B
Balance Sheet
Total Assets5.33B4.78B4.67B4.73B6.77B
Cash, Cash Equivalents and Short-Term Investments74.00M329.25M392.41M591.82M201.84M
Total Debt21.80M17.37M21.00M10.54M77.49M
Total Liabilities48.40M35.24M30.77M25.57M86.90M
Stockholders Equity5.28B4.75B4.64B4.71B6.68B
Cash Flow
Free Cash Flow156.70M188.23M136.53M60.00M142.32M
Operating Cash Flow156.70M188.34M136.76M60.00M142.32M
Investing Cash Flow-80.80M70.33M-23.46M628.76M140.86M
Financing Cash Flow-331.20M-321.84M-312.71M-298.78M-275.91M

Investment AB Oresund Technical Analysis

Technical Analysis Sentiment
Positive
Last Price119.60
Price Trends
50DMA
130.14
Positive
100DMA
122.53
Positive
200DMA
119.75
Positive
Market Momentum
MACD
3.94
Positive
RSI
57.99
Neutral
STOCH
57.56
Neutral
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For SE:ORES, the sentiment is Positive. The current price of 119.6 is below the 20-day moving average (MA) of 139.59, below the 50-day MA of 130.14, and below the 200-day MA of 119.75, indicating a bullish trend. The MACD of 3.94 indicates Positive momentum. The RSI at 57.99 is Neutral, neither overbought nor oversold. The STOCH value of 57.56 is Neutral, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Positive sentiment for SE:ORES.

Investment AB Oresund Peers Comparison

Overall Rating
UnderperformOutperform
Sector (68)
Financial Indicators
Name
Overall Rating
Market Cap
P/E Ratio
ROE
Dividend Yield
Revenue Growth
EPS Growth
78
Outperform
kr6.42B6.126.23%-0.22%-58.80%
68
Neutral
$18.00B11.429.92%3.81%9.73%1.22%
63
Neutral
kr8.83B12.5611.24%2.18%4.72%-38.28%
55
Neutral
kr4.97B-3.587.55%0.79%-25.75%-27.25%
53
Neutral
kr1.82B52.962.56%3.30%40.78%
49
Neutral
kr366.36M-15.688.78%
48
Neutral
kr3.94B-9.33-1.58%45733.33%-105.08%
* Financial Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
SE:ORES
Investment AB Oresund
141.20
32.06
29.38%
SE:CRED.A
Creades AB
65.05
-14.52
-18.24%
SE:CAT.B
Catella AB Class B
20.65
-10.58
-33.87%
SE:LINC
Linc AB
68.00
0.50
0.74%
SE:SVOL.B
Svolder AB Class B
46.64
-9.95
-17.59%
SE:NAXS
NAXS AB
35.50
-2.17
-5.75%
Glossary
BuyA stock rated as a "Buy" is expected to perform better than the overall market or a specific benchmark over the near-to-medium term. This rating suggests the stock is likely to deliver higher returns compared to other stocks in the same sector or market index. Note: This is not investment advice; please consult a financial advisor before making investment decisions.
HoldA stock rated as a "Hold" is expected to perform in line with the overall market or a specific benchmark. This rating indicates that the stock is neither particularly compelling nor unfavorable for investment. Note: This is not investment advice; please consult a financial advisor before making investment decisions.
SellA stock rated as a "Sell" is expected to perform worse than the overall market or a specific benchmark over the near-to-medium term. This rating suggests the stock may deliver lower returns compared to other stocks in the same sector or market index. Note: This is not investment advice; please consult a financial advisor before making investment decisions.

Disclaimer

This AI Analyst Stock Report is automatically generated by our AI systems using advanced algorithms and publicly available financial, technical, and market data. While the information provided aims to be accurate and insightful, it is intended for informational purposes only and should not be considered financial advice. Any content created by an AI (Artificial Intelligence) system may contain inaccuracies and/or contain errors. Investing in stocks carries inherent risks, and past performance is not indicative of future results. This report does not account for your personal financial circumstances, objectives, or risk tolerance. Always conduct your own research or consult with a qualified financial advisor before making investment decisions. The analysis and recommendations provided are based on historical and current data and may not fully reflect future market conditions or unexpected developments. Neither the creators of this report nor its affiliated entities guarantee the accuracy, completeness, or reliability of the information presented. Use this report at your own discretion and risk.Date of analysis: Feb 01, 2026