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INDICATIVE · SAMPLE DATA
NAVIGOPREF58

Navigo Invest AB (publ)

Investment Management & Fund OperatorsVerified

Navigo Invest AB (publ) maintains a conservative capital structure with a debt-to-equity ratio of 0.16, indicating a low reliance on debt financing. The company's liquidity position is characterized as medium, with a current ratio of 1.07, suggesting it has sufficient short-term assets to cover its short-term liabilities. However, the company's net cash position is negative after subtracting total debt, which could pose a liquidity risk if not managed effectively. In terms of profitability, Navigo Invest AB (publ) reports a return on equity (ROE) of 2.71% and a return on assets (ROA) of 2.01%. These figures are below the industry median for investment management firms, indicating that the company is underperforming relative to its peers in generating returns on equity and assets. The company's revenue is primarily derived from its investment management and fund operations, with no significant geographic diversification disclosed. The financial data does not provide a breakdown of revenue by geographic region, making it difficult to assess the extent of geographic exposure or concentration risk. Looking at the growth trajectory, Navigo Invest AB (publ) is expected to see an increase in revenue, with a mean revenue estimate of 716,000,000 SEK for the upcoming fiscal year, compared to the last actual revenue of 659,111,000 SEK. This suggests a projected growth rate of approximately 8.6%. However, the company's operating income and net income have shown a decline, which could indicate challenges in maintaining profitability despite revenue growth. The risk assessment for Navigo Invest AB (publ) highlights a medium liquidity risk and a low dilution risk. The company's liquidity risk is primarily due to its negative net cash position after accounting for total debt. The dilution risk is low, as there is no indication of significant share issuance or dilution potential in the near term. The company's capital structure and financial performance suggest that it is not currently facing significant dilution pressures, but it should monitor its liquidity position closely to avoid potential shortfalls. Recent events and filings do not indicate any major changes in the company's operations or financial strategy. The company's financial performance and risk profile remain relatively stable, with no significant events reported in the latest filings or transcripts.

30-day price · NAVIGOPREF(missing data)
No daily-bar history available from current data sources. Alternate source pending.
Profile
CompanyNavigo Invest AB (publ)
TickerNAVIGOPREF.ST
SectorFinancials
BusinessBanking & Investment Services
Industry groupBanking & Investment Services
IndustryInvestment Management & Fund Operators
AI analysis

Business. Navigo Invest AB (publ) operates in the investment management and fund operations sector, providing financial services to clients through its banking and investment services.

Classification. Navigo Invest AB (publ) is classified under the Financials sector, specifically in the Investment Management & Fund Operators industry, with a confidence level of 0.92.

Navigo Invest AB (publ) maintains a conservative capital structure with a debt-to-equity ratio of 0.16, indicating a low reliance on debt financing. The company's liquidity position is characterized as medium, with a current ratio of 1.07, suggesting it has sufficient short-term assets to cover its short-term liabilities. However, the company's net cash position is negative after subtracting total debt, which could pose a liquidity risk if not managed effectively. In terms of profitability, Navigo Invest AB (publ) reports a return on equity (ROE) of 2.71% and a return on assets (ROA) of 2.01%. These figures are below the industry median for investment management firms, indicating that the company is underperforming relative to its peers in generating returns on equity and assets. The company's revenue is primarily derived from its investment management and fund operations, with no significant geographic diversification disclosed. The financial data does not provide a breakdown of revenue by geographic region, making it difficult to assess the extent of geographic exposure or concentration risk. Looking at the growth trajectory, Navigo Invest AB (publ) is expected to see an increase in revenue, with a mean revenue estimate of 716,000,000 SEK for the upcoming fiscal year, compared to the last actual revenue of 659,111,000 SEK. This suggests a projected growth rate of approximately 8.6%. However, the company's operating income and net income have shown a decline, which could indicate challenges in maintaining profitability despite revenue growth. The risk assessment for Navigo Invest AB (publ) highlights a medium liquidity risk and a low dilution risk. The company's liquidity risk is primarily due to its negative net cash position after accounting for total debt. The dilution risk is low, as there is no indication of significant share issuance or dilution potential in the near term. The company's capital structure and financial performance suggest that it is not currently facing significant dilution pressures, but it should monitor its liquidity position closely to avoid potential shortfalls. Recent events and filings do not indicate any major changes in the company's operations or financial strategy. The company's financial performance and risk profile remain relatively stable, with no significant events reported in the latest filings or transcripts.
Key takeaways
  • Navigo Invest AB (publ) has a conservative capital structure with a low debt-to-equity ratio of 0.16.
  • The company's return on equity (2.71%) and return on assets (2.01%) are below the industry median, indicating underperformance in generating returns.
  • The company is expected to see an 8.6% increase in revenue for the upcoming fiscal year, but its operating and net income have declined.
  • Navigo Invest AB (publ) faces a medium liquidity risk due to its negative net cash position after accounting for total debt.
  • The company's dilution risk is low, with no significant share issuance or dilution potential in the near term.
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Financial snapshot
PeriodHA-latest
CurrencySEK
Revenue$653.8M
Gross profit$407.0M
Operating income$56.4M
Net income$32.9M
R&D
SG&A
D&A
SBC
Operating cash flow$65.6M
CapEx-$4.7M
Free cash flow$62.8M
Total assets$1.64B
Total liabilities$424.1M
Total equity$1.21B
Cash & equivalents$61.5M
Long-term debt$188.4M
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$1.21B
Net cash-$126.9M
Current ratio1.1
Debt/Equity0.2
ROA2.0%
ROE2.7%
Cash conversion2.0%
CapEx/Revenue-0.7%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Banking & Investment Services · cohort 589 companies
MetricNAVIGOPREFActivity
Op margin8.6%25.7% medp25 3.6% · p75 52.2%below median
Net margin5.0%21.2% medp25 4.2% · p75 45.9%below median
Gross margin62.2%81.4% medp25 46.5% · p75 95.8%below median
CapEx / revenue-0.7%-1.7% medp25 -4.8% · p75 -0.4%above median
Debt / equity16.0%14.8% medp25 0.1% · p75 134.4%above median
Observations
IR observations
Mean price target4.80 SEK
Median price target4.80 SEK
High price target4.80 SEK
Low price target4.80 SEK
Mean revenue estimate716,000,000 SEK
Last actual revenue659,111,000 SEK
Mean EBIT estimate92,000,000 SEK
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod financials
no public URL
2026-05-16 16:15 UTC#55b8ab3b
Source: analysis-pipeline (hybrid)Generated: 2026-05-28 17:07 UTCJob: 827c2149