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Gabriel Holding A/S

GABR.CO
50
Manufacturing - Textiles · Consumer Cyclical
Price
kr 276.00
-6.00 (-2.13%)
Market Cap
kr 521.5M
Exchange
NASDAQ Copenhagen
Winston Score
50
Winston is curious
Mixed quality — meaningful strengths and weaknesses.
Data as of Aug 9, 2026 · filings through Mar 31, 2026

Gabriel Holding A/S is a Danish company that makes fabric and textile materials used in furniture, especially office chairs and seating. Its main customers are furniture manufacturers across Europe, including well-known office and contract furniture brands. Gabriel is one of the leading textile suppliers in the Scandinavian furniture industry, with a long history dating back to 1851.

The company earns money by selling fabric rolls and textile solutions directly to furniture makers, rather than selling finished furniture to consumers. It operates primarily in Europe, with production and sales focused on Denmark and nearby markets. Gabriel's competitive edge comes from its specialized knowledge of technical textiles and long-standing relationships with furniture manufacturers, but it faces real risks from shifts in office furniture demand — particularly as remote work trends continue to affect how much companies spend on workplace seating. Slower commercial real estate activity in Europe is a key headwind to watch.

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

-2.9% YoY

YoY Growth Rate

Revenue declining

EPS Growth

-39.0% YoY

YoY Growth Rate

Earnings declining

R&D Spend

$0/ year

Declining (-100% vs prior year)

0.0% of revenue

Below sector average (4%)

R&D spend declining — could signal cost-cutting or efficiency

Insider Activity

2.9%ownership

Relatively low insider ownership

Cash Runway

5+ years

Quarterly Free Cash Flow

↑ Burn rate improving

$61M cash & investments at current burn rate

Revenue declining

Gabriel Holding A/S's revenue is actually shrinking. In a growth stock, that removes the core investment thesis. The low Winston Score here may be warranted — unless there's a turnaround story.

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.

Share count broadly stable

0.0% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 1.9M (2021) → 1.9M (2025)

Score breakdown

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Quality

Gross Margin
23.7%
Thin — 23.7% gross margin
Operating Margin
9.9%
Modest — 9.9% operating margin
ROCE
2.5%
Weak — 2.5% return on capital

ROIC between 0% and 5%. They earn a few cents back per dollar invested in the business.

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Growth

Sales YoY
+87.6%
Fast-growing sales (+87.6% YoY)
EPS YoY
+51.7%
Earnings growing fast (+51.7% YoY)

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

EPS Consistency
5/8 quarters
Mixed — about half the quarters showed growth

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Cash Flow

Cash Conversion
1382%
Turns 1382% of profit into real cash
FCF Margin
18.5%
Converts sales into free cash efficiently (18.5%)

FCF margin between 10% and 20%. Every $100 in sales becomes $10 to $20 in real cash.

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Stability

Debt / Equity
1.00
Elevated debt (1.00)
Interest Cover
2.67x
Tight — interest eats into profit (2.7x)

Interest coverage between 1 and 3. Profits cover interest, but with little room to spare.

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Valuation

P/E Ratio (TTM)
19.2x
Fair value — P/E 19.2

P/E in the normal range. Price is roughly $15 for every $1 of yearly profit.

P/E vs Forward
+7.0
GROWING
Earnings expected to grow meaningfully — cheaper on forward P/E (19.2 → 12.2)

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Dividends

Dividend Yield
1.80%
Small dividend — 1.80% yield

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

Dividend Growth
-12.6%
Dividend cut (-12.6% YoY) — warning sign

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