Prevas AB
OM:PREV B
kr 79,70
kr-0,70 (-0,87%)
79,70 kr
kr-0,70 (-0,87%)
End-of-day quote: 03/20/2026

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

kr5,49
Earnings Per Share
kr126,32
Revenue Per Share
37,51%
Gross Margin %
kr1,03 B
Market Cap
kr0,19 B
Long-Term Debt
Earnings Per Share
kr5,49
Revenue Per Share
kr126,32
Gross Margin %
37,51%
Market Cap
kr1,03 B
Long-Term Debt
kr0,19 B

Financials

Year Year 2025 2024 2023 2022 2017 2016 2015 2014 2013 2012 2011 2010
EPS Earnings Per Share kr5,49 kr7,13 kr9,23 kr9,03 kr1,70 kr-0,73 kr-0,02 kr1,22 kr-1,65 kr2,85 kr3,17 kr0,83
Earnings Earnings kr70,71M kr91,91M kr117,59M kr115,04M kr17,17M kr-7,37M kr-0,20M kr12,32M kr-16,67M kr28,79M kr32,02M kr8,38M
RPS Revenue Per Share kr126,32 kr123,09 kr116,38 kr103,93 kr72,76 kr68,97 kr69,45 kr71,91 kr68,10 kr63,92 kr60,91 kr51,43
Revenue Revenue kr1,63B kr1,59B kr1,48B kr1,32B kr734,85M kr696,56M kr701,45M kr726,27M kr687,80M kr645,61M kr615,17M kr519,40M
OCF Operating Cash Flow kr115,00M kr136,77M kr148,32M kr154,24M kr18,93M kr0,00M kr4,23M kr16,91M kr15,81M kr-6,03M kr53,46M kr6,36M
FCF Free Cash Flow kr99,00M kr184,00M kr105,00M kr52,64M kr6,25M kr-1,05M kr3,24M kr14,13M kr14,10M kr-7,77M kr28,90M kr0,00M
OM Operating Margin 6,66% 10,10% 13,10% 13,96% 2,20% -1,05% -0,73% 2,23% -0,95% 1,14% 7,65% 3,02%
GM % Gross Margin % 37,51% 40,21% 42,63% 41,30% 36,67% 30,38% 29,34% 30,81% 28,03% 30,88% 36,35% 32,93%
FCFS Free Cash Flow Per Share kr10,57 kr9,99 kr12,56 kr7,69 kr0,44 kr-0,26 kr0,18 kr1,30 kr1,31 kr-1,04 kr3,01 kr0,19
LT Debt Long-Term Debt kr192,59M kr129,88M N/A kr22,50M N/A kr1,90M kr8,70M kr14,89M kr52,70M kr56,67M kr10,45M kr23,34M
Sha. Stocks 12,88M 12,89M 12,74M 12,74M 10,1M 10,1M 10,1M 10,1M 10,1M 10,1M 10,1M 10,1M
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