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Svolder AB Class B (SE:SVOL.B)
:SVOL.B

Svolder AB Class B (SVOL.B) AI Stock Analysis

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SE:SVOL.B

Svolder AB Class B

(SVOL.B)

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Neutral 63 (OpenAI - 5.2)
Rating:63Neutral
Price Target:
kr55.00
▼(-5.74% Downside)
Action:ReiteratedDate:02/19/26
The score is driven primarily by solid financial resilience (debt-free balance sheet and consistently positive cash flow) tempered by highly volatile, market-sensitive earnings. Technical indicators are the biggest near-term drag, with the price below key moving averages and negative momentum. Valuation is supportive with a moderate P/E and modest dividend yield.
Positive Factors
Debt-free balance sheet
A zero-debt balance sheet materially reduces financial risk and preserves flexibility to hold positions through market cycles, pursue opportunistic purchases, and avoid forced asset sales. This durable solvency supports NAV stability and long-term capital preservation for shareholders.
Consistent positive cash generation
Regular positive operating and free cash flow provides persistent liquidity to fund dividends, cover operating costs, and support portfolio activity without relying on external financing. This steady cash generation is a durable enabler of shareholder distributions and portfolio management.
Diversified investment return drivers
Multiple, structural income streams — dividends, realized gains, unrealized valuation changes and interest — reduce reliance on any single source. This mix aligns incentives with long-term NAV growth and gives management several levers to generate shareholder value across different market regimes.
Negative Factors
High earnings volatility
Large year-to-year swings in reported earnings and NAV are inherent to the investment company model here. That volatility impairs predictability of returns and dividends, complicates capital planning, and can force value-destructive disposals in stressed markets over the medium term.
Recent revenue and EPS declines
Material negative growth in revenue and EPS across recent periods signals deterioration in realized income or portfolio performance. Over a 2–6 month horizon this reduces the company's ability to generate distributable earnings and weakens momentum behind NAV recovery absent market improvement.
Cash small vs. earnings swings
Although cash generation is consistently positive, its scale is modest versus volatile earnings, so cash alone may not smooth NAV fluctuations or fund large distribution needs. Timing variability in cash conversion increases the likelihood of asset sales to meet obligations in downturns.

Svolder AB Class B (SVOL.B) vs. iShares MSCI Sweden ETF (EWD)

Svolder AB Class B Business Overview & Revenue Model

Company DescriptionSvolder AB (publ) operates is a publicly owned investment manager. The firm operates as an investment trust. It invests in the shares of listed small and medium-size companies in Sweden. Svolder AB (publ) was founded in June, 1993 and is based in Stockholm, Sweden.
How the Company Makes MoneySvolder AB makes money primarily through capital gains and dividends from its investment portfolio. The company's revenue model is based on investing in carefully selected small and medium-sized companies, holding these investments over time to benefit from their potential growth, and generating returns as these companies increase in value. Additionally, Svolder earns income from dividends distributed by the companies it invests in. The firm's performance is also influenced by its ability to effectively manage its portfolio, including buying and selling equities based on market conditions and company fundamentals. Significant partnerships with brokerage firms and financial institutions may also play a role in facilitating its investment activities and market transactions.

Svolder AB Class B Financial Statement Overview

Summary
Financials are resilient overall, supported by a conservatively positioned, debt-free balance sheet (strong solvency) and consistently positive operating/free cash flow. The main offset is highly volatile profitability and market-sensitive results with sharp swings across years, reducing earnings stability and predictability.
Income Statement
64
Positive
Results are highly volatile, which is typical for an investment/asset management model where reported revenue and earnings can swing with market moves. TTM (Trailing-Twelve-Months) shows a sharp rebound with very strong profitability and outsized revenue growth, but the prior years include periods of significant losses (2022–2023) followed by a very strong 2024 and a much lower-profit 2025 annual print. Overall, profitability can be excellent in good markets, but earnings quality and year-to-year stability are uneven.
Balance Sheet
88
Very Positive
The balance sheet is conservatively positioned with zero reported debt across all periods and a large equity base relative to total assets, reducing financial risk and improving resilience. Returns on equity, however, swing meaningfully (negative in 2022–2023, strong in 2021 and 2024, modest in TTM), reflecting that shareholder returns are driven more by portfolio/market outcomes than steady operating leverage.
Cash Flow
72
Positive
Cash generation is consistently positive, with operating cash flow and free cash flow positive each year and modestly growing in the latest TTM (Trailing-Twelve-Months). Free cash flow tracks net income closely in the data provided, which is supportive. That said, cash flow is small relative to the large earnings swings in some periods, and the operating cash flow relative to net income varies widely in the annual series, suggesting timing effects and less predictability in cash conversion.
BreakdownTTMAug 2025Aug 2024Aug 2023Aug 2022Aug 2021
Income Statement
Total Revenue533.40M31.80M894.46M-493.48M-1.16B3.51B
Gross Profit533.40M31.73M894.46M-493.48M-1.16B3.51B
EBITDA518.41M8.68M149.78M-525.44M-1.19B3.49B
Net Income440.30M8.60M876.20M-525.50M-1.19B3.49B
Balance Sheet
Total Assets5.80B5.88B6.03B5.27B5.88B7.13B
Cash, Cash Equivalents and Short-Term Investments292.30M430.80M323.90M190.20M734.10M429.90M
Total Debt0.000.000.000.000.000.00
Total Liabilities163.30M25.20M6.40M21.50M15.40M10.90M
Stockholders Equity5.63B5.86B6.02B5.25B5.87B7.12B
Cash Flow
Free Cash Flow107.90M98.00M86.40M77.50M113.10M73.40M
Operating Cash Flow107.90M98.10M86.50M77.60M113.20M73.40M
Investing Cash Flow176.80M183.00M149.50M-529.30M255.00M167.20M
Financing Cash Flow-46.10M-174.10M-102.40M-92.20M-64.00M-56.30M

Svolder AB Class B Technical Analysis

Technical Analysis Sentiment
Negative
Last Price58.35
Price Trends
50DMA
55.17
Negative
100DMA
55.06
Negative
200DMA
54.86
Negative
Market Momentum
MACD
-1.19
Negative
RSI
39.41
Neutral
STOCH
42.97
Neutral
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For SE:SVOL.B, the sentiment is Negative. The current price of 58.35 is above the 20-day moving average (MA) of 51.04, above the 50-day MA of 55.17, and above the 200-day MA of 54.86, indicating a bearish trend. The MACD of -1.19 indicates Negative momentum. The RSI at 39.41 is Neutral, neither overbought nor oversold. The STOCH value of 42.97 is Neutral, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Negative sentiment for SE:SVOL.B.

Svolder AB Class B 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
kr6.20B6.126.23%-0.22%-58.80%
68
Neutral
$18.00B11.429.92%3.81%9.73%1.22%
63
Neutral
kr5.36B-35.167.55%0.79%-25.75%-27.25%
63
Neutral
kr9.11B8.3711.24%2.18%4.72%-38.28%
54
Neutral
kr3.52B75.687.92%0.31%3.71%26.89%
48
Neutral
kr3.91B-10.10-1.58%45733.33%-105.08%
* Financial Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
SE:SVOL.B
Svolder AB Class B
50.50
-4.27
-7.80%
SE:CRED.A
Creades AB
67.10
-6.00
-8.21%
SE:IDUN.B
Idun Industrier AB Class B
306.00
-32.08
-9.49%
SE:VO2
Vo2 Cap Holding AB
2.29
0.14
6.51%
SE:LINC
Linc AB
67.60
-3.40
-4.79%
SE:ORES
Investment AB Oresund
136.40
28.58
26.51%
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 19, 2026