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1 Comment
Catella AB (publ) is currently in a long term uptrend where the price is trading 4.7% above its 200 day moving average.
From a valuation standpoint, the stock is 97.5% cheaper than other stocks from the Financial Services sector with a price to sales ratio of 1.1.
Catella AB (publ)'s total revenue sank by 21.6% to $565M since the same quarter in the previous year.
Its net income has increased by 368.1% to $220M since the same quarter in the previous year.
Finally, its free cash flow fell by 179.3% to $-65M since the same quarter in the previous year.
Based on the above factors, Catella AB (publ) gets an overall score of 3/5.
ISIN | SE0000188518 |
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CurrencyCode | EUR |
Exchange | F |
Industry | Asset Management |
Sector | Financial Services |
Beta | 1.04 |
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Target Price | None |
Market Cap | 281M |
Dividend Yield | 3.5% |
PE Ratio | 6.55 |
Catella AB (publ) is a real estate investment firm. The firm together with its subsidiaries, provides property advisory and investments, and fund management services in Europe. The company operates in two segments, Corporate Finance and Asset Management. The Corporate Finance segment offers strategic advisory, capital market-related, and transaction advisory services to real estate companies, financial institutions, property funds, and other property owners. The Asset Management segment provides property investment management, fund, and asset management services to institutional and other professional investors, as well as project management services in the early phase of property development projects. This segment also offers equity, hedge, and fixed income funds, as well as systematic funds. The company was formerly known as Scribona AB (publ) and changed its name to Catella AB (publ) in 2010. Catella AB (publ) was incorporated in 1961 and is headquartered in Stockholm, Sweden.
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