Nolato AB (publ) logo

Nolato AB (publ)

NOLA-B.ST
43
Conglomerates · Industrials
Price
kr 48.95
+1.10 (+2.30%)
Market Cap
kr 13.19B
Exchange
Stockholm Stock Exchange
Winston Score
43
Winston looking serious
Winston is serious
Mixed quality — meaningful strengths and weaknesses.

Winston Score between 40 and 70. The stock passes some quality checks but not all.

Nolato is a Swedish company that makes precision plastic and silicone components. It serves three main markets: medical devices (things like drug delivery systems and diagnostic equipment), consumer electronics (parts inside phones and gadgets), and industrial products. The company is a major contract manufacturer, meaning it builds parts designed by other companies rather than selling products under its own brand.

Nolato earns money by manufacturing these components at scale for large customers, charging per unit produced. It operates mainly in Europe and Asia, with significant production in Sweden, China, and other countries. Its competitive edge comes from deep technical expertise in polymer processing and long-term relationships with large healthcare and electronics companies, which makes switching suppliers costly. The medical segment offers the most stable growth, but the electronics segment is cyclical and tied to consumer demand — a slowdown in smartphone or consumer gadget sales can quickly pressure revenue and margins.

Winston Score History

Score breakdown

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Quality

Gross Margin
18.3%
Thin — 18.3% gross margin
Operating Margin
10.5%
Modest — 10.5% operating margin
ROCE
3.7%
Weak — 3.7% 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
-3.2%
Shrinking sales (-3.2% YoY)
EPS YoY
+8.9%
Earnings growing (8.9% YoY)

Single-digit earnings growth — steady but not exciting.

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

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Cash Flow

Cash Conversion
53%
Weak — only 53% of profit becomes cash
FCF Margin
-6.1%
Burning cash (-6.1%)

Free cash flow is negative. They are burning cash, not generating it.

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Stability

Debt / Equity
0.14
Conservative — low debt load (0.14)
Interest Cover
18.88x
Comfortably covers interest (18.9x)

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

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Valuation

P/E Ratio
16.6x
Fair value — P/E 16.6

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

P/E vs Forward
+3.0
GROWING
Earnings expected to grow — slightly cheaper on forward P/E

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Dividends

Dividend Yield
3.51%
Moderate income — 3.51% yield

Standard yield zone for stable dividend payers. A meaningful piece of total return.

Dividend Growth
-85.1%
Dividend cut (-85.1% YoY) — warning sign

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