Ogunsen AB (publ) provides recruitment and consultancy services for specialists and managers in the economics and finance as well as related sectors in Sweden. It also offers executive search and consulting services. The company was formerly known as SJR in Scandinavia AB (publ) and changed its name to Ogunsen AB (publ) in November 2021. Ogunsen AB (publ) was incorporated in 1992 and is based in Stockholm, Sweden.
Frequently asked questions
What sector does Ogunsen AB Series B (OGUN-B) operate in?
Ogunsen AB Series B belongs to the Industrials sector and operates in the Staffing & Employment Services industry.
What is Ogunsen AB Series B (OGUN-B) current stock price?
As of the latest data, Ogunsen AB Series B stock price is SEK 25.90, with a previous close of SEK 25.70. Ogunsen AB Series B gained SEK 0.20 in the last trading session, representing a 0.78% increase.
What is Ogunsen AB Series B (OGUN-B) current market capitalization?
Ogunsen AB Series B market cap is approximately 255.33 million.
What is Ogunsen AB Series B (OGUN-B) Earnings Per Share (EPS)?
The trailing EPS is SEK 1.46, and the forward EPS is SEK 2.80.
What is Ogunsen AB Series B (OGUN-B) Price-to-Earnings (P/E) ratio?
Ogunsen AB Series B current P/E ratio is 17.74, with a forward P/E of 9.25.
What is Ogunsen AB Series B (OGUN-B) EBITDA?
Ogunsen AB Series B EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 8.30 million.
Does Ogunsen AB Series B (OGUN-B) pay dividends?
Yes. Ogunsen AB Series B pays annual dividends with an annualized yield of 5.79% and an estimated annual payout of SEK 1.50 per share.
When is the next ex-dividend date for Ogunsen AB Series B (OGUN-B)?
The next ex-dividend date is scheduled for April 17, 2027.
How did Ogunsen AB Series B (OGUN-B) perform in its most recent earnings report?
In the last report (March 31, 2026), Ogunsen AB Series B posted an EPS surprise of 7.32% and a revenue surprise of -3.29%.
What is Ogunsen AB Series B (OGUN-B) beta (volatility) score?
Ogunsen AB Series B has a beta of 0.348, indicating lower volatility than the overall market.