Snowball logo
logo
3B7

Bahnhof AB (publ)

5.21-0.02  (0.38%)
Estimate
P/E
34.7
EPS
0.15
Beta
0.614
Growth
Revenue, YoY
8.81%
Net income, YoY
7.96%
FCF, YoY
-29.33%
Dividends
Dividend yield
0.3%
Annual payout
SEK 0.18
Next ex. div date
May 13, 27
Payout
115.07%
Div.rating
About the company
Ticker
3B7
ISIN
SE0010442418
Country
Other
Sector (GICS)
Communication Services
Bahnhof AB (publ) provides internet services to individuals and businesses in Sweden, rest of Europe, and internationally. It provides broadband, telephony, VPN and antivirus, TV and streaming, office WiFi, WAN and WAN Lite, backbone and carrier, cloud, and colocation services; and data security services, including backup and recovery, and DDoS protection, as well as data center solutions. The company was founded in 1994 and is headquartered in Stockholm, Sweden. Bahnhof AB (publ) operate as a subsidiary of KN Telecom AB.

Frequently asked questions

What sector does Bahnhof AB (publ) (3B7) operate in?

Bahnhof AB (publ) belongs to the Communication Services sector and operates in the Telecom Services industry.

What is Bahnhof AB (publ) (3B7) current stock price?

As of the latest data, Bahnhof AB (publ) stock price is €5.21, with a previous close of €5.23. Bahnhof AB (publ) lost -€0.02 in the last trading session, representing a -0.38% loss.

What is Bahnhof AB (publ) (3B7) current market capitalization?

Bahnhof AB (publ) market cap is approximately 404.11 million.

What is Bahnhof AB (publ) (3B7) Earnings Per Share (EPS)?

The trailing EPS is €0.15.

What is Bahnhof AB (publ) (3B7) Price-to-Earnings (P/E) ratio?

Bahnhof AB (publ) current P/E ratio is 34.73.

Does Bahnhof AB (publ) (3B7) pay dividends?

Yes. Bahnhof AB (publ) pays annual dividends with an annualized yield of 0.3% and an estimated annual payout of €0.18 per share.

When is the next ex-dividend date for Bahnhof AB (publ) (3B7)?

The next ex-dividend date is scheduled for May 13, 2027.

What is Bahnhof AB (publ) (3B7) beta (volatility) score?

Bahnhof AB (publ) has a beta of 0.614, indicating lower volatility than the overall market.