OM:HAV B

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Market Cap

kr302.6m

Last Updated

2021/07/22 22:11 UTC

Data Sources

Company Financials

Executive Summary

Havsfrun Investment AB (publ) manages a diversified portfolio of hedge funds, mutual funds, and equities in various markets. More Details


Snowflake Analysis

Flawless balance sheet with acceptable track record.

Share Price & News

How has Havsfrun Investment's share price performed over time and what events caused price changes?


Latest Share Price and Events

Stable Share Price: HAV B is not significantly more volatile than the rest of Swedish stocks over the past 3 months, typically moving +/- 7% a week.

Volatility Over Time: HAV B's weekly volatility (7%) has been stable over the past year.


Market Performance


7 Day Return

1.8%

HAV B

14.8%

SE Capital Markets

1.8%

SE Market


1 Year Return

50.1%

HAV B

100.5%

SE Capital Markets

42.2%

SE Market

Return vs Industry: HAV B underperformed the Swedish Capital Markets industry which returned 74.1% over the past year.

Return vs Market: HAV B exceeded the Swedish Market which returned 38.4% over the past year.


Shareholder returns

HAV BIndustryMarket
7 Day1.8%14.8%1.8%
30 Day1.6%32.5%7.6%
90 Day-18.3%43.9%7.0%
1 Year57.7%50.1%102.6%100.5%47.3%42.2%
3 Year67.9%37.0%127.1%118.6%76.1%58.9%
5 Year65.9%16.3%148.3%121.9%115.2%73.8%

Long-Term Price Volatility Vs. Market

How volatile is Havsfrun Investment's share price compared to the market and industry in the last 5 years?


Simply Wall St News

Valuation

Is Havsfrun Investment undervalued compared to its fair value and its price relative to the market?

20.64x

Price to Earnings (PE) ratio


Share Price vs. Fair Value

Below Fair Value: Insufficient data to calculate HAV B's fair value to establish if it is undervalued.

Significantly Below Fair Value: Insufficient data to calculate HAV B's fair value to establish if it is undervalued.


Price To Earnings Ratio

PE vs Industry: HAV B is poor value based on its PE Ratio (20.6x) compared to the Swedish Capital Markets industry average (8.9x).

PE vs Market: HAV B is good value based on its PE Ratio (20.6x) compared to the Swedish market (23.3x).


Price to Earnings Growth Ratio

PEG Ratio: Insufficient data to calculate HAV B's PEG Ratio to determine if it is good value.


Price to Book Ratio

PB vs Industry: HAV B is overvalued based on its PB Ratio (1.9x) compared to the SE Capital Markets industry average (1.6x).


Future Growth

How is Havsfrun Investment forecast to perform in the next 1 to 3 years based on estimates from 0 analysts?

23.6%

Forecasted Diversified Financials industry annual growth in earnings


In this section we usually present revenue and earnings growth projections based on the consensus estimates of professional analysts to help investors understand the company’s ability to generate profit. But as Havsfrun Investment has not provided enough past data and has no analyst forecast, its future earnings cannot be reliably calculated by extrapolating past data or using analyst predictions.

This is quite a rare situation as 97% of companies covered by SimplyWall St do have past financial data.


Past Performance

How has Havsfrun Investment performed over the past 5 years?

2.7%

Historical annual earnings growth


Earnings and Revenue History

Quality Earnings: HAV B has high quality earnings.

Growing Profit Margin: HAV B became profitable in the past.


Past Earnings Growth Analysis

Earnings Trend: HAV B has become profitable over the past 5 years, growing earnings by 2.7% per year.

Accelerating Growth: HAV B has become profitable in the last year, making the earnings growth rate difficult to compare to its 5-year average.

Earnings vs Industry: HAV B has become profitable in the last year, making it difficult to compare its past year earnings growth to the Capital Markets industry (89.4%).


Return on Equity

High ROE: HAV B's Return on Equity (9.2%) is considered low.


Financial Health

How is Havsfrun Investment's financial position?


Financial Position Analysis

Short Term Liabilities: HAV B's short term assets (SEK161.4M) exceed its short term liabilities (SEK1.3M).

Long Term Liabilities: HAV B's short term assets (SEK161.4M) exceed its long term liabilities (SEK1,000.0).


Debt to Equity History and Analysis

Debt Level: HAV B is debt free.

Reducing Debt: HAV B has no debt compared to 5 years ago when its debt to equity ratio was 0.3%.

Debt Coverage: HAV B has no debt, therefore it does not need to be covered by operating cash flow.

Interest Coverage: HAV B has no debt, therefore coverage of interest payments is not a concern.


Balance Sheet


Dividend

What is Havsfrun Investment current dividend yield, its reliability and sustainability?

6.00%

Current Dividend Yield


Dividend Yield vs Market

Notable Dividend: HAV B's dividend (6%) is higher than the bottom 25% of dividend payers in the Swedish market (0.95%).

High Dividend: HAV B's dividend (6%) is in the top 25% of dividend payers in the Swedish market (3.5%)


Stability and Growth of Payments

Stable Dividend: HAV B's dividends per share have been stable in the past 10 years.

Growing Dividend: HAV B's dividend payments have not increased over the past 10 years.


Current Payout to Shareholders

Dividend Coverage: With its high payout ratio (123.8%), HAV B's dividend payments are not well covered by earnings.


Future Payout to Shareholders

Future Dividend Coverage: Insufficient data to determine if a dividend will be paid in 3 years and that it will be covered by earnings.


Next Steps

Management

How experienced are the management team and are they aligned to shareholders interests?

4.5yrs

Average board tenure


CEO

Jonas Israelsson (46 yo)

4.5yrs

Tenure

kr1,147,000

Compensation

Mr. Jonas Israelsson serves as Chief Executive Officer of Havsfrun Investment AB (publ) since 2017 and served as its Deputy Chief Executive Officer. Mr. Israelsson served as Investment Manager of Havsfrun ...


CEO Compensation Analysis

Compensation vs Market: Insufficient data to establish whether Jonas's total compensation is reasonable compared to companies of similar size in the Swedish market.

Compensation vs Earnings: Jonas's compensation has been consistent with company performance over the past year.


Board Members

Experienced Board: HAV B's board of directors are considered experienced (4.5 years average tenure).


Ownership

Who are the major shareholders and have insiders been buying or selling?


Insider Trading Volume

Insider Buying: Insufficient data to determine if insiders have bought more shares than they have sold in the past 3 months.


Ownership Breakdown

Dilution of Shares: Shareholders have not been meaningfully diluted in the past year.


Top Shareholders

Company Information

Havsfrun Investment AB (publ)'s company bio, employee growth, exchange listings and data sources


Key Information

  • Name: Havsfrun Investment AB (publ)
  • Ticker: HAV B
  • Exchange: OM
  • Founded: 1988
  • Industry: Asset Management and Custody Banks
  • Sector: Diversified Financials
  • Market Cap: kr302.649m
  • Shares outstanding: 12.11m
  • Website: https://www.havsfrun.se

Number of Employees


Location

  • Havsfrun Investment AB (publ)
  • Nybrogatan 6
  • Box 5855
  • Stockholm
  • Stockholm County
  • 102 40
  • Sweden

Listings


Biography

Havsfrun Investment AB (publ) manages a diversified portfolio of hedge funds, mutual funds, and equities in various markets. The company was founded in 1988 and is based in Stockholm, Sweden.


Company Analysis and Financial Data Status

All financial data provided by Standard & Poor's Capital IQ.
DataLast Updated (UTC time)
Company Analysis2021/07/22 22:11
End of Day Share Price2021/07/22 00:00
Earnings2021/03/31
Annual Earnings2020/12/31


Unless specified all financial data is based on a yearly period but updated quarterly. This is known as Trailing Twelve Month (TTM) or Last Twelve Month (LTM) Data. Learn more here.