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Kitron ASA

KIT.OL
41
Hardware, Equipment & Parts · Technology
Also trades as: 0F0J.L
Price
kr 94.95
+2.50 (+2.70%)
Market Cap
kr 20.77B
Exchange
Oslo Stock Exchange
Winston Score
41
Winston is serious
Mixed quality — meaningful strengths and weaknesses.
Data as of Aug 12, 2026 · filings through Jun 30, 2026

Share count rising — dilution

+9.8% over 4y

The company has issued more shares over this period, which dilutes each existing shareholder’s stake.

Diluted shares outstanding: 181.4M (2021) → 199.1M (2025)

Kitron ASA is a Norwegian electronics manufacturing services (EMS) company. It builds electronic components and assemblies for other businesses — it does not sell products under its own brand. Its main customers are companies in the defence, aerospace, energy, medical devices, and industrial sectors that need complex electronics made reliably and at scale.

Kitron earns money by manufacturing electronics on contract, charging customers for labour, materials, and production. It operates primarily across Scandinavia, Central Europe, and Lithuania, with some presence in the United States and China. The company's competitive position rests on its specialisation in high-complexity, regulated industries where quality and certification matter more than low cost alone. A key risk is that its current operating and returns metrics are deeply negative, suggesting the business is under meaningful cost or demand pressure, and a sustained recovery in profitability will depend heavily on defence and industrial spending holding up across its European customer base.

Winston Score History

Score breakdown

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Quality

Gross Margin
32.7%
Modest — 32.7% gross margin
Operating Margin
9.9%
Modest — 9.9% operating margin
ROCE
6.4%
Weak — 6.4% 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
N/A
Data not available
EPS YoY
-43.0%
Earnings shrinking (-43.0% YoY)

Earnings per share down more than 10%. Either a bad year, or a real decline.

EPS Consistency
4/8 quarters
Earnings inconsistent quarter-to-quarter

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Cash Flow

Cash Conversion
N/A
Data not available
FCF Margin
21.1%
Converts sales into free cash efficiently (21.1%)

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
0.27
Conservative — low debt load (0.27)
Interest Cover
1.44x
Dangerous — barely covers interest (1.4x)

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

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Valuation

P/E Ratio (TTM)
300.2x
Expensive — P/E 300.2

P/E over 35. The market is pricing in heavy, sustained growth.

P/E vs Forward
+91.3
GROWING
Earnings expected to grow meaningfully — cheaper on forward P/E (300.2 → 208.9)

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Dividends

Dividend Yield
0.74%
Small dividend — 0.74% yield

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

Dividend Growth
+58.6%
Dividend growing fast (58.6% YoY)

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