SKVB Stock Chart & Stats
€1.57
-€0.02(-1.42%)
At close: 4:00 PM EDT
€1.57
-€0.02(-1.42%)
Day’s Range― - ―
52-Week Range€1.57 - €2.94
Previous CloseN/A
Volume0.00
Average Volume (3M)6.00
Market Cap
€145.96M
Enterprise Value€1.91K
Total Cash (Recent Filing)€1.25B
Total Debt (Recent Filing)€1.32B
Price to Earnings (P/E)―
Beta0.56
Next Earnings
Nov 05, 2026EPS Estimate
-0.02Next Dividend Ex-DateN/A
Dividend YieldN/A
Share Statistics
EPS (TTM)-1.72
Shares Outstanding86,009,130
10 Day Avg. Volume10
30 Day Avg. Volume6
Financial Highlights & Ratios
PEG Ratio0.90
Price to Book (P/B)1.34
Price to Sales (P/S)1.22
P/FCF Ratio2.56
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)<0.01
Revenue Forecast (FY)€136.44M
Bulls Say, Bears Say
Bulls Say
Diversified Real-estate Financial-services ModelMultiple revenue streams across advisory, recurring asset-management fees and property investments can reduce dependence on one activity. This breadth supports resilience over time, although transaction and property income remain market-sensitive.
Improved Balance-sheet LeverageLower leverage than in prior years improves financial flexibility and reduces balance-sheet pressure. The sizeable equity base of approximately 1.70bn provides a stronger cushion against earnings volatility and real-estate market stress.
Solid Gross MarginA gross margin near 48.6% indicates that Catella retains meaningful value capture in its services and investment activities. This provides a potential foundation for recovery if revenue stabilizes, despite weak current profitability.
Bears Say
Sustained Revenue ContractionRevenue contraction signals weaker demand, transaction activity or assets under management. If prolonged, lower scale can pressure operating leverage, reduce fee generation and make recovery dependent on a broader real-estate market improvement.
Large TTM Net Loss And Earnings VolatilityThe swing to a substantial loss demonstrates that earnings are highly sensitive to operating conditions and investment outcomes. Persistent volatility makes planning more difficult and can constrain reinvestment, distributions and stakeholder confidence.
Weak And Unsustainable Recent Cash GenerationNegative operating and free cash flow weaken internal funding capacity and may increase reliance on asset sales or external financing. The sharp reversal from 2025 also raises questions about the durability and quality of reported cash generation.
Catella AB Class B News
SKVB FAQ
What was Catella AB Class B’s price range in the past 12 months?
Catella AB Class B lowest stock price was €1.57 and its highest was €2.94 in the past 12 months.
What is Catella AB Class B’s market cap?
Catella AB Class B’s market cap is €145.96M.
When is Catella AB Class B’s upcoming earnings report date?
Catella AB Class B’s upcoming earnings report date is Nov 05, 2026 which is in 70 days.
How were Catella AB Class B’s earnings last quarter?
Catella AB Class B released its earnings results on Aug 20, 2026. The company reported -€0.014 earnings per share for the quarter, missing the consensus estimate of €0.018 by -€0.031.
Is Catella AB Class B overvalued?
According to Wall Street analysts Catella AB Class B’s price is currently Overvalued.
Does Catella AB Class B pay dividends?
Catella AB Class B does not currently pay dividends.
What is Catella AB Class B’s EPS estimate?
Catella AB Class B’s EPS estimate is -0.02.
How many shares outstanding does Catella AB Class B have?
Catella AB Class B has 86,009,130 shares outstanding.
What happened to Catella AB Class B’s price movement after its last earnings report?
Catella AB Class B reported an EPS of -€0.014 in its last earnings report, missing expectations of €0.018. Following the earnings report the stock price went down -1.767%.
Which hedge fund is a major shareholder of Catella AB Class B?
Currently, no hedge funds are holding shares in DE:SKVB
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
Catella AB Class B
Catella AB (publ) is a real estate investment firm. The firm together with its subsidiaries, provides property advisory and investments, and fund management services in Europe. The company operates in two segments, Corporate Finance and Asset Management. The Corporate Finance segment offers strategic advisory, capital market-related, and transaction advisory services to real estate companies, financial institutions, property funds, and other property owners. The Asset Management segment provides property investment management, fund, and asset management services to institutional and other professional investors, as well as project management services in the early phase of property development projects. This segment also offers equity, hedge, and fixed income funds, as well as systematic funds. The company was formerly known as Scribona AB (publ) and changed its name to Catella AB (publ) in 2010. Catella AB (publ) was incorporated in 1961 and is headquartered in Stockholm, Sweden.
Technical Analysis
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