Svolder (SVOL) Q3 23/24 earnings summary
Event summary combining transcript, slides, and related documents.
Q3 23/24 earnings summary
13 Jun, 2025Executive summary
Net profit for the quarter was 672 MSEK (6.60 SEK/share), up from 77 MSEK (0.70 SEK/share) year-over-year; nine-month profit reached 1,166 MSEK (11.40 SEK/share), up from 156 MSEK (1.50 SEK/share) year-over-year.
Substansvärde (NAV) per share increased 11.9% to 61.60 SEK in the quarter and 22.7% over nine months, including reinvested dividends.
B share price rose 13.2% in the quarter to 67.50 SEK, outperforming NAV growth but slightly underperforming the Carnegie Small Cap Return Index (CSRX) at 13.0%.
Key positive contributors to NAV: Ependion, ITAB, Nolato; negative: New Wave, MilDef.
Portfolio adjustments included increased holdings in Scandic Hotels, Elanders, MilDef, and reduced positions in New Wave, Troax, engcon.
Financial highlights
Operating profit for the quarter was 669 MSEK, up from 76 MSEK year-over-year.
Cash flow from operations was 91.7 MSEK for the quarter; net cash position at period end was 254.4 MSEK.
Portfolio was unleveraged at quarter end; credit facility of 500 MSEK remains unused.
Dividend of 1.00 SEK/share paid in November 2023.
Outlook and guidance
Management expects continued long-term growth driven by global megatrends, despite short-term market uncertainty.
Short-term market conditions remain uncertain, but optimism persists for small-cap recovery and portfolio companies' resilience.
Latest events from Svolder
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Q2 24/255 Jun 2025