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Havsfrun Investment AB (publ) (HAV-B.ST)

Euronext Financial Services Financial - Capital MarketsView data quality →
62.8Fair

ValueMarkers Composite Index

Top 88%#5,459 of 44,707
Overvalued

695% above intrinsic value ($0)

UndervaluedFair ValueOvervalued
Piotroski
6/9
Neutral
Beneish
5.00
High Risk
Altman
54.17
Safe
DCF Value
$0
Overvalued
ROIC
10.9%
Adequate
P/E
13.9
Value
Updated: ·Source: Data sourced from SEC filings and institutional providers. Not financial advice.·Report data issue

Havsfrun Investment AB (publ) (HAV-B.ST) — VMCI valuation read

Across 120 indicators, Havsfrun Investment AB (publ) (HAV-B.ST) lands at VMCI 63/100. The Financial Services sector median is 50, so the 13-point above-median read is the active comparison. Pillar weighting on the score: Value 35%, Quality 30%, Integrity 15%, Growth 12%, Risk 8%.

No material Form 4 disclosures landed on HAV-B.ST in the past 30 days. Quiet insider tape removes one signal source; the active reads stay with the trailing-twelve-month financials and the next 10-Q.

**Investor frame.** On Value, HAV-B.ST trades at 25.0x earnings, 39% above the Financial Services median of 18.0x; the EV/EBITDA delta of -2.0x reinforces that single line. On Quality, ROIC of 17.0% sits 7.0pp above the Financial Services median (10.0%). On Risk, net debt to EBITDA of 3.0x is the rate-sensitivity line to watch for HAV-B.ST on the trailing balance sheet.

HAV-B.ST fell 3.3% over the trailing 7 days, with a +2.6% read on a 30-day basis.

Havsfrun Investment AB (publ) manages a diversified portfolio of hedge funds, mutual funds, and equities in various markets. The company was founded in 1988 and is based in Stockholm, Sweden.

CEO: Jonas Israelsson3 employeesSEwww.havsfrun.se

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