0RKK Stock Chart & Stats
kr104.80
-kr2.10(-2.18%)
At close: 4:00 PM EST
kr104.80
-kr2.10(-2.18%)
Day’s Range― - ―
52-Week Rangekr22.85 - kr115.00
Previous CloseN/A
Volume30.50K
Average Volume (3M)289.00
Market Cap
kr1.97B
Enterprise Valuekr9.87K
Total Cash (Recent Filing)kr122.00M
Total Debt (Recent Filing)kr3.62B
Price to Earnings (P/E)7.7
Beta0.48
Next Earnings
Oct 23, 2026EPS Estimate
0.38Next Dividend Ex-DateN/A
Dividend Yield3.1%
Share Statistics
EPS (TTM)3.20
Shares Outstanding79,406,570
10 Day Avg. Volume418
30 Day Avg. Volume289
Financial Highlights & Ratios
PEG Ratio2.54
Price to Book (P/B)3.93
Price to Sales (P/S)1.01
P/FCF Ratio13.47
Enterprise Value/Market CapN/A
Enterprise Value/RevenueN/A
Enterprise Value/Gross ProfitN/A
Enterprise Value/EbitdaN/A
Forecast
1Y Price TargetN/A
Price Target UpsideN/A
Rating ConsensusN/A
Number of Analyst Covering0
EPS Forecast (FY)1.27
Revenue Forecast (FY)kr4.69B
Bulls Say, Bears Say
Bulls Say
Strong Free Cash FlowConsistent and growing free cash flow (SEK 663M TTM, +5.2%) provides a durable funding source for bolt-on acquisitions, capex and dividends. High FCF relative to net income (≈84%) signals earnings quality and supports strategic flexibility even with cyclical revenue swings.
Long-term Ownership ModelA deliberate buy-and-hold strategy allows management to focus on operational improvements, margin recovery and targeted bolt-on deals rather than short-term exits. That structural approach supports steady value creation via portfolio optimization and deeper integration over multiple years.
Diversified End-marketsExposure to both building materials (retail/trade, professional DIY) and label manufacturing (consumer and industrial packaged goods) spreads demand risk. Diversified revenue drivers and recurring label volumes help smooth cycles and sustain utilization and manufacturing margins over time.
Bears Say
High LeverageLeverage near 1.5x constrains balance-sheet flexibility and raises refinancing risk if profitability weakens. With cash flow coverage of debt only moderate (~0.43), high indebtedness limits headroom for larger acquisitions, capex or absorbing demand shocks without aggressive deleveraging.
Declining RevenueAn ~12% TTM revenue decline signals structural pressure on demand or pricing/volume mix. Persistent top-line weakness undermines operating leverage, complicates margin recovery and reduces the returns on integration investments, making long-term growth targets harder to achieve.
Compressed ProfitabilityRelatively low net margins and margin compression reduce the buffer against input cost inflation and demand downturns. Lower profitability limits internal reinvestment and slows deleveraging, making sustained ROE improvements and funding of growth initiatives more challenging without operational gains.
Volati AB News
0RKK FAQ
What was Volati AB’s price range in the past 12 months?
Volati AB lowest share price was kr22.85 and its highest was kr115.00 in the past 12 months.
What is Volati AB’s market cap?
Volati AB’s market cap is kr1.97B.
When is Volati AB’s upcoming earnings report date?
Volati AB’s upcoming earnings report date is Oct 23, 2026 which is in 95 days.
How were Volati AB’s earnings last quarter?
Volati AB released its earnings results on Jul 17, 2026. The company reported kr0.44 earnings per share for the quarter, missing the consensus estimate of kr0.695 by -kr0.255.
Is Volati AB overvalued?
According to Wall Street analysts Volati AB’s price is currently Overvalued.
Does Volati AB pay dividends?
Volati AB pays a Annually dividend of kr1 which represents an annual dividend yield of 3.1%. See more information on Volati AB dividends here
What is Volati AB’s EPS estimate?
Volati AB’s EPS estimate is 0.38.
How many shares outstanding does Volati AB have?
Volati AB has 79,406,570 shares outstanding.
What happened to Volati AB’s price movement after its last earnings report?
Volati AB reported an EPS of kr0.44 in its last earnings report, missing expectations of kr0.695. Following the earnings report the stock price went up 1.434%.
Which hedge fund is a major shareholder of Volati AB?
Currently, no hedge funds are holding shares in GB:0RKK
What is the TipRanks Smart Score and how is it calculated?
Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology
Company Description
Volati AB
Volati AB, a private equity firm founded in Stockholm, Sweden, in 2003, focuses on providing capital for growth, executing management buyouts, and supporting strategic add-on acquisitions. The firm primarily seeks established, mid-market enterprises, with a preference for small to medium-sized companies in Sweden, the wider Nordic region, and Europe. Their investment strategy involves acquiring majority ownership stakes and taking board seats, targeting businesses that exhibit robust cash flow generation. Volati finances these investments directly from its own balance sheet. The firm's sector interests are organized into three main categories: Trading, Consumer, and Industry. Within the Trading segment, they actively pursue opportunities in diverse areas such as building materials, various consumables, construction materials (including concrete, cut stones, and stone products), paper and forest products, industrial goods, home and garden products, and agricultural businesses. In the Consumer sector, their focus includes database marketing, digital transformation, and e-commerce ventures. For the Industry sector, Volati targets companies involved in international expansion, lean manufacturing processes, human resources, as well as those operating in the broader consumer discretionary, consumer staples, and utilities industries. Financially, Volati typically invests between $20 million and nearly $60 million per transaction. They look for companies with an enterprise value up to approximately $120 million, annual revenues spanning from around $2.4 million to $300 million, and an EBITDA between $2 million and almost $18 million.
Technical Analysis
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