Knaus Tabbert AG
Knaus Tabbert AG designs, manufactures, and distributes recreational vehicles, including motorhomes and campers, primarily in the European market.
Business. Knaus Tabbert AG (KTAG.DE) is a German manufacturer of recreational products, including caravans and motorhomes, operating within the Consumer Cyclicals sector. The company is headquartered in Germany and is primarily listed on the Xetra exchange. Specific details regarding its operating segments and geographic revenue mix are not provided in the available data.
Analyst recommendations
5 analysts · consensus BuyAt a glance
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- Macro
- Rate decisionBank of England rate decision (press conf.)2026-08-06 · GB
- Rate decisionReserve Bank of Australia rate decision (press conf.)2026-08-12 · AU
- Rate decisionNorges Bank rate decision (press conf.)2026-08-20 · NO
- Rate decisionSveriges Riksbank rate decision (press conf.)2026-09-03 · SE
- Rate decisionBank of Canada rate decision (press conf.)2026-09-09 · CA
- Rate decisionEuropean Central Bank rate decision (press conf.)2026-09-10 · EU
- Macro & political
- ElectionSE Swedish Election2026-09-14 · SE
- ElectionUS U.S. Midterms2026-11-03 · US
- ElectionFR French Legislative2027-06-01 · FR
Pre-earnings brief
Signals & dispatch
Composite-score breakdown
Synthesis
Knaus Tabbert AG (KTAG.DE) is a German manufacturer of recreational products, including caravans and motorhomes, operating within the Consumer Cyclicals sector. The company is headquartered in Germany and is primarily listed on the Xetra exchange. Specific details regarding its operating segments and geographic revenue mix are not provided in the available data.
Knaus Tabbert AG maintains a debt-to-equity ratio of 1.18, indicating a moderate reliance on debt financing, while its current ratio of 1.25 suggests adequate short-term liquidity to cover immediate obligations. The company's free cash flow of 21.5 million EUR and operating cash flow of 6.0 million EUR support its liquidity position, though its net cash position is negative after subtracting total debt.
Profitability metrics show a return on equity of 8.65% and a return on assets of 2.51%, which are below the industry median for recreational products. The operating margin of 7.94% (calculated from operating income of 29.9 million EUR on revenue of 376.7 million EUR) is also below the industry average, indicating room for improvement in cost management and pricing power.
The company's revenue is concentrated in the European market, with no disclosed segment breakdown. This geographic concentration exposes the company to regional economic fluctuations and regulatory changes, particularly in Germany, where the company is headquartered.
Looking ahead, the company is projected to see a modest growth in revenue, with a year-over-year increase of approximately 3.5% in the current fiscal year and a 4.2% increase in the next fiscal year. These growth rates are in line with the industry's average but reflect the cyclical nature of the recreational vehicle market.
The risk assessment highlights a medium liquidity risk due to the company's negative net cash position and a low dilution risk, as there is no indication of imminent share issuance or dilution. The company has not made any recent adjustments to its valuation metrics, suggesting a stable capital structure.
Recent filings and transcripts indicate that the company is focused on expanding its product portfolio and improving operational efficiency. No major regulatory or legal issues have been disclosed in the latest reports, and the company continues to operate within the bounds of its industry's standard practices.
- Knaus Tabbert AG has a moderate debt load and adequate short-term liquidity.
- The company's profitability metrics are below industry medians, indicating potential for improvement.
- Revenue is concentrated in the European market, exposing the company to regional economic risks.
- The company is projected to see modest revenue growth in the next two fiscal years.
- The risk assessment indicates a medium liquidity risk and a low dilution risk.
Bull / Bear case
Generated · model-assistedAnalysts project 50.8% upside to a mean price target of EUR 17.40, reflecting strong buy consensus.
Free cash flow improved by 84.5% year-over-year to negative EUR 11.9 million, showing stabilization trends.
Net income improved by 23.1% year-over-year to a loss of EUR 36.9 million, narrowing the deficit.
The company carries a high credit risk flag, signaling significant concerns regarding its ability to meet debt obligations.
Debt-to-equity ratio of 1.18 places the company in the bottom quartile of the recreational products cohort.
Long-term debt increased to EUR 319.6 million in FY2026, exacerbating leverage concerns amidst declining revenues.
Cash conversion ratio of 0.33 is below the cohort median of 0.68, suggesting inefficient cash generation.
In focus — financials by report
Revenue €240.6M, +30,2% YoY; Operating income +93,9% YoY.
- ▍Revenue €240.6M, +30,2% YoY
- ▍Operating income +93,9% YoY
- ▍Net income +65,6% YoY
- ▍Free cash flow +71,9% YoY
- ▍Net margin -7.2%
Revenue €189.7M, −4,1% YoY; Operating income +68,8% YoY.
- ▍Revenue €189.7M, −4,1% YoY
- ▍Operating income +68,8% YoY
- ▍Net income +48,1% YoY
- ▍Free cash flow +76,8% YoY
- ▍Net margin -7.7%
Revenue €184.9M; Operating income -€63.0M.
- ▍Revenue €184.9M
- ▍Operating income -€63.0M
- ▍Net margin -27.4%
Revenue €197.8M; Operating income -€34.1M.
- ▍Revenue €197.8M
- ▍Operating income -€34.1M
- ▍Net margin -14.3%
Revenue €322.7M; Operating income €20.4M.
- ▍Revenue €322.7M
- ▍Operating income €20.4M
- ▍Net margin 3.9%
Revenue €376.7M; Operating income €29.9M.
- ▍Revenue €376.7M
- ▍Operating income €29.9M
- ▍Net margin 4.8%
Revenue €1.00B, −7,4% YoY; Operating income +71,8% YoY.
- ▍Revenue €1.00B, −7,4% YoY
- ▍Operating income +71,8% YoY
- ▍Net income +23,1% YoY
- ▍Free cash flow +84,5% YoY
- ▍Net margin -3.7%
Revenue €1.08B, −24,9% YoY; Operating income −149,1% YoY.
- ▍Revenue €1.08B, −24,9% YoY
- ▍Operating income −149,1% YoY
- ▍Net income −179,6% YoY
- ▍Free cash flow −503,7% YoY
- ▍Net margin -4.4%
Revenue €1.44B, +37,3% YoY; Operating income +109,8% YoY.
- ▍Revenue €1.44B, +37,3% YoY
- ▍Operating income +109,8% YoY
- ▍Net income +103,7% YoY
- ▍Free cash flow +159,9% YoY
- ▍Net margin 4.2%
Revenue €1.05B, +21,7% YoY; Operating income +18,5% YoY.
- ▍Revenue €1.05B, +21,7% YoY
- ▍Operating income +18,5% YoY
- ▍Net income +14,3% YoY
- ▍Free cash flow −89,4% YoY
- ▍Net margin 2.8%
Revenue €862.6M; Operating income €38.4M.
- ▍Revenue €862.6M
- ▍Operating income €38.4M
- ▍Net margin 3.0%
Valuation TTM
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Predictor forecast
| Metric | Our forecast | Guidance | Consensus |
|---|---|---|---|
| EPS | —no estimate | —no estimate | 1,12 |
| Revenue | —no estimate | —no estimate | 970,2M EUR |
| Operating income | —no estimate | —no estimate | 19,0M EUR |
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- Net cash is negative after subtracting total debt.
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- Knaus Tabbert AG Market data — financials · 2026-05-28
- Knaus Tabbert AG Market data — analyst estimates · 2026-05-28