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Hoist Finance: Q3 pre-tax profit falls, return on equity rises – SDR status expected
Hoist Finance reports a Q3 pre-tax profit of SEK 349m (−4%), net profit of SEK 284m (+16%) and a return on equity of 17.6% (vs. 15.8%). Revenues fell 3% to SEK 1,051m, the investment portfolio grew to SEK 31.6bn (+4%) with investments of SEK 2.4bn (−48%). CET1 ratio is 12.21%, NSFR 142%, and the firm is seeking Specialized Debt Restructurer (SDR) status, with confirmation expected in connection with the Q4 report; this would increase CET1 by about 2.5–3 percentage points. Hoist plans a portfolio target of SEK 36bn by end-2026 and expects roughly 25% higher investment activity after receiving SDR; the shares closed at SEK 97.05 (−1.96%). » Más en de.investing.com
Hoist Finance raises portfolio value significantly in Q3 2025
Hoist Finance reports a pre-tax profit of SEK 349 million for Q3 2025 (versus SEK 363 million in Q3 2024), operating profit growth of 13% and a return on equity of 17.6%. Portfolio value rose 9% to SEK 32 billion with portfolio investments of SEK 2.4 billion. The company expanded into Finland and plans to launch euro deposit platforms in Germany; the share price fell about 1.96% as a result. Hoist targets a portfolio of SEK 36 billion by end-2026 and expects, after notification of SDR status in February 2026, a CET1 increase of 2.5–3% as well as higher investment volumes. » Más en de.investing.com
Hoist Finance impresses with strong operational performance in the second quarter despite profit decline
In the second quarter of 2025, Hoist Finance reported a decline in pre-tax profit to SEK 310 million, but demonstrated solid operational performance with a 17% increase in portfolio value and a collection performance of 104.4%. The share price rose by 9.15% following the release of the results, reflecting investor confidence in the company's strategic direction and efficiency. Management emphasized the company's strong capitalization and plans to further expand the portfolio and develop the deposit platform, starting in Germany. » Más en de.investing.com
Dividendos históricos Dividendos
Todas las métricas de dividendos Todas las métricasDatos financieros de la empresa
| (EUR) | jun 2026 | |
|---|---|---|
| Ingresos | 164,41 M | 27,84 % |
| Beneficio bruto | 115,86 M | 37,20 % |
| Beneficio neto | 42,77 M | 103,67 % |
| EBITDA | 58,2 M | 97,72 % |
Datos fundamentales
| Métrica | Valor |
|---|---|
Capitalización bursátil | 1704,72 M € |
Número de acciones | 87,42 M |
Máximo/mínimo de 52 semanas | 20,17 € - 8,18 € |
Rentabilidad por dividendo | 2,79 % |
Dividendos TTM | 0,55 € |
Beta | 1,13 |
Ratio P/E | 13,91 |
Ratio PEG | 0,25 |
Ratio P/B | 2,95 |
Ratio P/S | 2,98 |
Perfil de la empresa
Hoist Finance AB (publ), eine Kreditmarktgesellschaft, ist in Europa im Bereich der Kreditbeschaffung und -verwaltung tätig. Sie ist in drei Segmenten tätig: Unbesichert, Besichert und Performing. Das Unternehmen erwirbt leistungsfähige und nicht-leistungsfähige Kredite von seinen Partnern, internationalen Banken und Finanzinstituten. Es bietet auch Girokonten und Festgeldanlagen an. Das Unternehmen war früher unter dem Namen Hoist International AB (publ) bekannt und änderte im Januar 2015 seinen Namen in Hoist Finance AB (publ). Hoist Finance AB (publ) wurde 1994 gegründet und hat seinen Hauptsitz in Stockholm, Schweden.
| Nombre | Hoist Finance AB |
| CEO | Harry Vranjes |
| Sede | Stockholm,
ab Suecia |
| Sitio web | |
| Sector | Finanzas |
| Industria | Servicios financieros |
| Salida a bolsa | 25/03/2015 |
| Empleados | 1237 |
Deep Dive
Símbolos bursátiles
| Bolsa | Símbolo |
|---|---|
Sto | HOFI.ST |
Frankfurt | 4HF.F |
Düsseldorf | 4HF.DU |
London | 0R65.L |
Stockholm | HOFI.ST |
München | 4HF.MU |
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