CAG Group AB (publ)
OM:CAG
kr 107,50
kr-2,50 (-2,27%)
107,50 kr
kr-2,50 (-2,27%)
End-of-day quote: 03/23/2026

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

kr6,78
Earnings Per Share
kr121,63
Revenue Per Share
18,96%
Gross Margin %
kr0,79 B
Market Cap
kr0,01 B
Long-Term Debt
Earnings Per Share
kr6,78
Revenue Per Share
kr121,63
Gross Margin %
18,96%
Market Cap
kr0,79 B
Long-Term Debt
kr0,01 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018
EPS Earnings Per Share kr6,99 kr6,78 kr7,71 kr7,71 kr5,11 kr4,72 kr4,14 kr5,67
Earnings Earnings kr50,12M kr48,61M kr55,28M kr55,28M kr36,03M kr32,95M kr27,20M kr36,86M
RPS Revenue Per Share kr117,85 kr121,63 kr111,52 kr111,52 kr92,62 kr76,33 kr74,26 kr75,25
Revenue Revenue kr844,97M kr872,06M kr799,61M kr799,61M kr652,99M kr532,77M kr487,88M kr489,10M
OCF Operating Cash Flow kr75,00M kr82,21M kr90,47M kr90,47M kr51,94M kr61,43M kr61,33M kr0,00M
FCF Free Cash Flow kr49,00M kr78,48M kr80,00M kr87,75M kr50,98M kr57,83M kr51,19M kr0,00M
OM Operating Margin 8,00% 7,70% 8,32% 8,35% 7,33% 8,13% 7,93% 6,99%
GM % Gross Margin % 19,44% 18,96% 20,02% 18,89% 19,25% 20,39% 21,50% 22,58%
FCFS Free Cash Flow Per Share kr11,74 kr10,95 kr8,67 kr12,35 kr7,34 kr8,72 kr8,56 kr2,20
LT Debt Long-Term Debt kr9,33M kr9,33M kr30,50M kr59,17M kr22,50M kr1,94M kr9,69M kr17,44M
Sha. Stocks 7,17M 7,17M 7,17M 7,17M 7,05M 6,98M 6,57M 6,5M
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