KH Group Oyj
KH Group Oyj operates in the investment management and fund operations sector, providing financial services to institutional and retail clients through its diversified portfolio of investment funds and asset management solutions.
Business. KH Group Oyj (KHG.HE) is a Finnish investment management and fund operator headquartered in Helsinki, operating within the Banking & Investment Services sector. The company generates revenue primarily through fee-based models associated with managing assets under management and providing related financial services. It is listed on the Nasdaq Helsinki exchange. Specific details regarding operating segments or geographic revenue breakdowns are not provided in the available data.
Analyst recommendations
2 analysts · consensus HoldAt 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
KH Group Oyj (KHG.HE) is a Finnish investment management and fund operator headquartered in Helsinki, operating within the Banking & Investment Services sector. The company generates revenue primarily through fee-based models associated with managing assets under management and providing related financial services. It is listed on the Nasdaq Helsinki exchange. Specific details regarding operating segments or geographic revenue breakdowns are not provided in the available data.
KH Group Oyj exhibits a high debt-to-equity ratio of 1.99, indicating a capital structure that is significantly leveraged. The company's liquidity position is constrained, as evidenced by a current ratio of 0.92, which is below the 1.0 threshold typically considered healthy. Additionally, the company reported negative net cash of EUR -134.2 million, calculated as cash and equivalents (EUR 8.1 million) minus long-term debt (EUR 142.3 million), signaling potential liquidity stress.
Profitability metrics are weak, with a return on equity (ROE) of -3.78% and a return on assets (ROA) of -0.77%. These figures indicate that the company is not generating returns that exceed its cost of capital, which is a concern for equity investors. The operating loss of EUR 0.5 million and net loss of EUR 2.7 million further underscore the company's inability to generate consistent earnings.
KH Group Oyj's revenue is concentrated in a single business segment, as disclosed in its financial statements, with no material geographic diversification reported. This lack of diversification increases the company's exposure to sector-specific risks and limits its ability to offset performance shortfalls in one area with gains in another.
The company's growth trajectory is uncertain, with no clear indication of revenue expansion in the near term. The current fiscal year outlook does not provide specific revenue growth targets, and the absence of a positive operating cash flow (EUR -10.7 million) suggests that the company may struggle to fund growth initiatives organically.
Risk factors include liquidity constraints and the potential for earnings volatility due to the company's exposure to market fluctuations in its investment portfolio. The risk assessment indicates a medium liquidity risk, with the company's cash and equivalents insufficient to cover its long-term debt obligations. Dilution risk is currently low, as there is no indication of share issuance or dilution in the near term.
Recent events include the publication of the latest financial results, which show a net loss and negative operating cash flow. No significant corporate actions or regulatory changes have been disclosed in the most recent filings, but the company's performance highlights the need for strategic adjustments to improve profitability and liquidity.
- KH Group Oyj is operating with a high debt-to-equity ratio and weak profitability metrics.
- The company's liquidity position is constrained, with a current ratio below 1.0 and negative net cash.
- Revenue is concentrated in a single business segment, increasing exposure to sector-specific risks.
- The company is not generating consistent earnings, with a net loss and negative operating cash flow.
- Analysts have issued a neutral recommendation, with no strong buy ratings and a mean price target of EUR 0.60.
Bull / Bear case
Generated · model-assistedRevenue grew 105.3% annually over four years, reaching EUR 204.5 million in fiscal 2026.
Free cash flow turned positive to EUR 14.1 million in fiscal 2025, improving from negative prior years.
Net income improved 97.7% year-over-year to a near-breakeven loss of EUR 0.6 million in fiscal 2026.
Cash conversion ratio of 3.96 ranks best-in-class compared to the cohort median of 0.31.
Analysts project 15.4% upside to a consensus price target of EUR 0.60 from the current market price.
Debt-to-equity ratio of 1.99 places the company in the bottom quartile versus the cohort median of 0.03.
Return on equity of -3.78% falls in the bottom quartile compared to the cohort median of 4.21%.
Equity CAGR of -14.6% over five years reflects persistent erosion of shareholder capital base.
In focus — financials by report
Revenue €63.2M; Operating income €3.9M.
- ▍Revenue €63.2M
- ▍Operating income €3.9M
- ▍Net margin 1.3%
Revenue €45.3M, −47,1% YoY; Operating income −65,4% YoY.
- ▍Revenue €45.3M, −47,1% YoY
- ▍Operating income −65,4% YoY
- ▍Net income −103,6% YoY
- ▍Free cash flow +2,2% YoY
- ▍Net margin -0.2%
Revenue €54.2M; Operating income €500.0k.
- ▍Revenue €54.2M
- ▍Operating income €500.0k
- ▍Net margin -1.7%
Revenue €41.8M, +3,5% YoY; Operating income +80,0% YoY.
- ▍Revenue €41.8M, +3,5% YoY
- ▍Operating income +80,0% YoY
- ▍Net income +81,5% YoY
- ▍Free cash flow +73,7% YoY
- ▍Net margin -1.2%
Revenue €85.7M; Operating income €2.6M.
- ▍Revenue €85.7M
- ▍Operating income €2.6M
- ▍Net margin 3.3%
Revenue €40.4M; Operating income -€500.0k.
- ▍Revenue €40.4M
- ▍Operating income -€500.0k
- ▍Net margin -6.7%
Revenue €204.5M, +5,1% YoY; Operating income −9,8% YoY.
- ▍Revenue €204.5M, +5,1% YoY
- ▍Operating income −9,8% YoY
- ▍Net income +97,7% YoY
- ▍Free cash flow −4,1% YoY
- ▍Net margin -0.3%
Revenue €194.6M, +56,0% YoY; Operating income +186,4% YoY.
- ▍Revenue €194.6M, +56,0% YoY
- ▍Operating income +186,4% YoY
- ▍Net income −135,9% YoY
- ▍Free cash flow +556,1% YoY
- ▍Net margin -12.6%
Revenue €124.7M; Operating income +34,1% YoY.
- ▍Revenue €124.7M
- ▍Operating income +34,1% YoY
- ▍Net income −26,7% YoY
- ▍Free cash flow +61,8% YoY
- ▍Net margin -8.4%
Revenue €0.00, −100,0% YoY; Operating income −150,1% YoY.
- ▍Revenue €0.00, −100,0% YoY
- ▍Operating income −150,1% YoY
- ▍Net income −144,6% YoY
- ▍Free cash flow −150,1% YoY
Revenue €11.5M; Operating income €20.2M.
- ▍Revenue €11.5M
- ▍Operating income €20.2M
- ▍Net margin 160.2%
Valuation TTM
Revenue by segment
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Peer comparison
Market position
Stress test
Predictor forecast
| Metric | Our forecast | Guidance | Consensus |
|---|---|---|---|
| EPS | —no estimate | —no estimate | 0,03 |
| Revenue | —no estimate | —no estimate | 213,5M EUR |
| Operating income | —no estimate | —no estimate | 7,9M EUR |
Options
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Earnings-call key lines
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sell-side coverageEstimate revisions
consensus EPS · 26-week trendSell-side observations
Themes
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Risk factors
- Net cash is negative after subtracting total debt.
Benchmarks vs cohort
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- Return On Equitynet_income / total_equity
- Debt To Equity(short_term_debt + long_term_debt) / total_equity
- Cash Conversion Ratiooperating_cash_flow / net_income
- Return On Assetsnet_income / total_assets
- KH Group Oyj Market data — financials · 2026-05-28
- KH Group Oyj Market data — analyst estimates · 2026-05-28