AB Industrivärden (publ) logo

AB Industrivärden (publ)

INDU-C.ST
76
Asset Management · Financial Services
Price
kr 501.20
+6.40 (+1.29%)
Market Cap
kr 216.47B
Exchange
Stockholm Stock Exchange
Winston Score
76
Winston looking happy
Winston is happy
A high-quality business with solid fundamentals.

Winston Score above 70. The stock passes most of our quality checks.

AB Industrivärden is a Swedish investment company that owns large stakes in other well-known companies. Instead of selling products itself, it acts like a holding company — buying shares in major Nordic businesses and holding them for a long time. Its portfolio includes significant ownership in companies like Handelsbanken, Sandvik, Volvo, Essity, and Ericsson.

Industrivärden makes money primarily through dividends paid by the companies it owns and through gains when it sells shares. It is based in Stockholm, Sweden, and focuses almost entirely on large, established Nordic companies. Its competitive edge comes from its long holding periods, its influence as a major shareholder, and its ties to the powerful Wallenberg and Lundberg family networks. The main risk is that its total value rises and falls directly with the stock prices of its portfolio companies, meaning a broad market downturn in the Nordic region can significantly reduce its net asset value.

Winston Score History

Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

+59.5% YoY

YoY Growth Rate

Strong revenue growth

EPS Growth

+60.2% YoY

YoY Growth Rate

Strong earnings growth

R&D Spend

$0/ year

0.0% of revenue

Below sector average (7%)

Research and development spending

Insider Activity

30.1%ownership

Insiders own a meaningful stake in the company

Cash Position

Cash flow positive

$337M cash & investments

Company generates more cash than it spends — no dilution risk from fundraising

Winston looking curious
Strong grower

AB Industrivärden (publ) is growing revenue at 60% year-over-year. The Winston Score penalises unprofitable companies, but revenue at this pace tells a different story — this is a company still in "build mode."

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Score breakdown

Every number that matters to educated investors.

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Quality

Gross Margin
99.6%
Premium pricing power — 99.6% gross margin
Operating Margin
99.6%
Excellent — 99.6% operating margin
ROCE
5.9%
Weak — 5.9% return on capital

ROIC between 5% and 15%. They earn 5 to 15 cents back per year on every dollar invested.

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Growth

Sales YoY
+896.7%
Fast-growing sales (896.7% YoY)
EPS YoY
+929.7%
Earnings growing fast (929.7% YoY)

Earnings growing 25%+ a year. The compounder zone.

EPS Consistency
8/8 quarters
Every recent quarter grew earnings vs last year

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Cash Flow

Cash Conversion
23%
Weak — only 23% of profit becomes cash
FCF Margin
22.9%
Converts sales into free cash efficiently (22.9%)

Free cash flow margin above 20%. Out of every $100 in sales, more than $20 is real cash they keep.

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Stability

Debt / Equity
0.04
Conservative — low debt load (0.04)
Interest Cover
362.59x
Comfortably covers interest (362.6x)

Interest coverage above 8. Profits cover interest many times over.

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Valuation

P/E Ratio
5.7x
Attractive valuation — P/E 5.7

P/E under 10. The price tag is small relative to last year's profit.

P/E vs Forward
-1.6
SLOWING
Earnings expected to fall — forward P/E higher than today

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Dividends

Dividend Yield
1.76%
Small dividend — 1.76% yield

Modest yield. The bulk of any return needs to come from price appreciation.

Dividend Growth
+32.0%
Dividend growing fast (32.0% YoY)

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