Svolder (SVOL) Q1 2025 earnings summary
Event summary combining transcript, slides, and related documents.
Q1 2025 earnings summary
8 Dec, 2025Executive summary
Net result for the quarter was -469 MSEK (-198 MSEK last year), or -4.60 SEK per share (-1.90 SEK per share last year), reflecting a challenging period for the portfolio.
Substansvärdet (NAV) decreased by 7.8% including reinvested dividends, to 52.50 SEK per share; the B share price fell 9.7% to 53.55 SEK per share.
Dividend of 174 MSEK (1.70 SEK per share) was paid during the period.
Portfolio performance lagged the Carnegie Small Cap Return Index, which declined 4.8% in the same period.
MilDef was the largest positive contributor to NAV, while New Wave, Ependion, and XANO Industri were the main negative contributors.
Financial highlights
Operating result for the quarter was -471 MSEK (-200 MSEK last year), mainly due to negative value changes in the securities portfolio.
Earnings per share for the quarter were -4.60 SEK (-1.90 SEK last year).
Substansvärde per share at period end was 52.50 SEK (48.30 SEK last year), with a B share price of 53.55 SEK (56.00 SEK last year).
Cash flow from operations was 1.4 MSEK (13.5 MSEK last year); cash and equivalents at period end were 53.8 MSEK.
Portfolio was unleveraged at period end, with a net receivable of 69 MSEK (1.3% of NAV).
Outlook and guidance
Management remains focused on long-term value creation and expects small caps to benefit from lower interest rates and improved domestic demand.
The company sees opportunities for small caps to recover lost ground as interest rates stabilize and real wages rise in Sweden.
Market recovery in small caps has been driven by valuation increases rather than earnings growth, increasing short-term risk if profit estimates are not met.
For 2025, small cap earnings are expected to grow by 22%, compared to 4% for large caps.
Latest events from Svolder
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