Boozt AB (publ)
OM:BOOZT
kr 86,25
kr-1,25 (-1,43%)
86,25 kr
kr-1,25 (-1,43%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

kr5,30
Earnings Per Share
kr137,20
Revenue Per Share
29,11%
Gross Margin %
kr5,21 B
Market Cap
kr0,38 B
Long-Term Debt
Earnings Per Share
kr5,30
Revenue Per Share
kr137,20
Gross Margin %
29,11%
Market Cap
kr5,21 B
Long-Term Debt
kr0,38 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017
EPS Earnings Per Share kr5,30 kr5,22 kr4,54 kr3,11 kr3,73 kr3,61 kr1,15 kr0,68 kr1,92
Earnings Earnings kr320,12M kr338,36M kr298,23M kr204,67M kr244,32M kr229,92M kr65,98M kr38,81M kr108,17M
RPS Revenue Per Share kr137,20 kr127,18 kr118,05 kr102,47 kr88,76 kr68,45 kr59,70 kr48,77 kr35,78
Revenue Revenue kr8,29B kr8,24B kr7,76B kr6,74B kr5,81B kr4,36B kr3,42B kr2,78B kr2,02B
OCF Operating Cash Flow kr648,50M kr251,00M kr130,00M kr805,40M kr241,80M kr747,30M kr76,50M kr-13,80M kr-137,80M
FCF Free Cash Flow kr501,50M kr12,00M kr-51,00M kr90,20M kr-365,10M kr593,20M kr-94,80M kr-105,70M kr-310,60M
OM Operating Margin 4,86% 5,56% 3,93% 3,69% 4,47% 5,20% 2,74% 2,59% -3,33%
GM % Gross Margin % 29,11% 28,97% 28,70% 29,53% 32,91% 33,12% 33,16% 34,34% 32,92%
FCFS Free Cash Flow Per Share kr14,54 kr0,21 kr0,13 kr4,23 kr-2,00 kr10,16 kr-1,59 kr-1,85 kr-5,93
LT Debt Long-Term Debt N/A kr380,00M kr326,00M kr402,00M kr205,10M kr114,10M kr109,30M kr75,00M kr70,60M
Sha. Stocks 60,4M 64,82M 65,69M 65,81M 65,5M 63,69M 57,37M 57,08M 56,34M
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