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CASE

Case Group AB

CASE ST
SEK 20.80SEK 0.00  (0%)
Estimate
P/E
17.3
EPS
1.2
Beta
0.342
Growth
Revenue, YoY
-1.21%
Net income, YoY
-38.15%
FCF, YoY
-103.98%
Dividends
Dividend yield
3.61%
Annual payout
SEK 0.75
Next ex. div date
May 22, 27
Div.rating
About the company
Ticker
CASE
ISIN
SE0017082514
Country
Sweden
Sector (GICS)
Industrials
Case Group AB (publ), through its subsidiary, provides fund and asset management services in Sweden. The company offers managed funds with equities, fixed income, and mixed strategies; Case Elite One, a multi-strategy fund that combines equities, fixed income, and alternative investments; and institutional management services. The company serves private individuals, companies, institutions, national and regional authorities, and pension funds and collective investment funds. Case Group AB (publ) was founded in 2004 and is headquartered in Stockholm, Sweden.

Frequently asked questions

What sector does Case Group AB (CASE) operate in?

Case Group AB belongs to the Industrials sector and operates in the Asset Management industry.

What is Case Group AB (CASE) current stock price?

As of the latest data, Case Group AB stock price is SEK 20.80, with a previous close of SEK 20.80.

What is Case Group AB (CASE) current market capitalization?

Case Group AB market cap is approximately 669.43 million.

What is Case Group AB (CASE) Earnings Per Share (EPS)?

The trailing EPS is SEK 1.20.

What is Case Group AB (CASE) Price-to-Earnings (P/E) ratio?

Case Group AB current P/E ratio is 17.33.

What is Case Group AB (CASE) EBITDA?

Case Group AB EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 7.71 million.

Does Case Group AB (CASE) pay dividends?

Yes. Case Group AB pays annual dividends with an annualized yield of 3.61% and an estimated annual payout of SEK 0.75 per share.

When is the next ex-dividend date for Case Group AB (CASE)?

The next ex-dividend date is scheduled for May 22, 2027.

What is Case Group AB (CASE) beta (volatility) score?

Case Group AB has a beta of 0.342, indicating lower volatility than the overall market.