Hoist Finance AB (publ) Stock

Hoist Finance AB (publ) Market capitalization 2024

Hoist Finance AB (publ) Market capitalization

4.71 B SEK

Ticker

HOFI.ST

ISIN

SE0006887063

WKN

A14P5E

In 2024, Hoist Finance AB (publ)'s market cap stood at 4.71 B SEK, a 70.99% increase from the 2.75 B SEK market cap in the previous year.

The Hoist Finance AB (publ) Market capitalization history

YEARREVENUE (undefined SEK)GROSS MARGIN (%)NET INCOME (undefined SEK)
2026e4.8937,501.1
2025e4.3841,860.85
2024e3.9346,660.73
20233.1658,050.56
20222.5671,680.71
20211.9793,05-0.21
20202.8364,93-0.05
20192.9262,890.54
20182.5771,460.54
20172.3777,580.41
20162.1485,740.4
20151.81101,500.22
20141.29142,160.15
20131.17157,290.13
20120.45406,780.03
20030.161132,020.03
20020.23781,850.02
20010.23804,470.04
20000.151206,440.03
19990.072580,870
19980.063038,080.01

Hoist Finance AB (publ) Aktienanalyse

What does Hoist Finance AB (publ) do?

Hoist Finance AB (publ) is a Swedish company specializing in the acquisition and management of distressed credit portfolios. The company was founded in 1994, initially focusing on debt collection. In 2009, Hoist Finance shifted its focus to the core business of purchasing distressed credit portfolios. Hoist Finance's business model is relatively simple: the company purchases distressed credit portfolios from banks or other financial institutions to manage them and generate profits from borrower repayments. The company places great importance on providing fair and responsible solutions for borrowers, recognizing that debt repayment can be challenging for many individuals. Hoist Finance offers individualized and solution-oriented approaches to borrowers. Hoist Finance operates in several European countries, including Sweden, Norway, Finland, Denmark, Germany, Spain, and Italy. The company is a leading player in the distressed credit portfolio market in these countries. The various divisions of Hoist Finance primarily focus on strategic portfolio acquisition, portfolio management, and debt collection. In strategic portfolio acquisition, distressed credit portfolios are carefully analyzed and evaluated before purchase offers are made. Portfolio management aims to maximize returns, while debt collection focuses on achieving solutions and supporting borrowers. Hoist Finance offers two main categories of products: debt purchasing and debt servicing. Debt purchasing involves acquiring distressed credit portfolios, while debt servicing focuses on managing and collecting loan repayments. Hoist Finance is capable of managing a broad range of credit types, including consumer loans, auto loans, credit card loans, SME loans, and mortgages. The company serves both individual and commercial borrowers. Overall, Hoist Finance has experienced significant growth in recent years and has established itself as a successful player in the industry. The company emphasizes fair and responsible solutions for borrowers and works closely with them to facilitate prompt debt repayment. Hoist Finance AB (publ) ist eines der beliebtesten Unternehmen auf Eulerpool.com.

Market capitalization Details

Exploring Hoist Finance AB (publ)'s Market Capitalization

Hoist Finance AB (publ)'s market capitalization represents the total dollar market value of the company’s outstanding shares of stock. It is calculated by multiplying the company's shares outstanding by the current market price of one share. This metric is a vital indicator of a company’s size, strength, and overall market value.

Year-to-Year Comparison

A yearly comparison of Hoist Finance AB (publ)'s market capitalization provides investors and analysts insights into its growth and valuation trends. An increase signifies market confidence and business expansion, while a decrease may point towards declining market value or business contractions.

Impact on Investments

Hoist Finance AB (publ)'s market capitalization plays a pivotal role in investment decisions. It aids investors in assessing the company's risk and return profiles. Larger companies are often considered more stable but may offer lower growth potential, while smaller companies might offer significant growth prospects but come with higher risk.

Interpreting Market Capitalization Fluctuations

Variations in Hoist Finance AB (publ)’s market capitalization can be attributed to several factors, including changes in stock price, outstanding shares, and market sentiment. Understanding these fluctuations helps investors evaluate the company's current standing and future potential in the competitive landscape.

Frequently Asked Questions about Hoist Finance AB (publ) stock

What is the current Hoist Finance AB (publ) market capitalization?

The current market capitalization of Hoist Finance AB (publ) is 4.71 B SEK.

What is market capitalization?

The market capitalization (German: Marktkapitalisierung, English: market capitalization, abbreviated as market cap, also known as stock exchange capitalization or market value) is the calculated total value of all shares of a publicly traded company like Hoist Finance AB (publ).

How has the market capitalization of Hoist Finance AB (publ) developed in recent years?

The market capitalization of Hoist Finance AB (publ) has increased/decreased by 70.99% compared to the previous year.

What does market capitalization mean for investors?

The market capitalization of a company reflects the current market consensus on the value of the equity of a publicly traded company.

Why is market capitalization an important indicator for investors?

The market capitalization of a company reflects the current market consensus on the value of a publicly traded company's equity. It is determined by the supply and demand for the company's shares. Market capitalization is thus significantly influenced by expectations in the stock market regarding the future earnings power of the company, and as such, it can undergo significant fluctuations.

Why does the market capitalization fluctuate?

The market capitalization fluctuates along with the stock price, as the market capitalization is calculated based on the current price and the number of outstanding shares.

What role does market capitalization play in the valuation of Hoist Finance AB (publ)?

In order to compare the value of companies, it is helpful to consider not only the market capitalization but also the net debt of a company. A potential buyer of the entire company would also acquire the debts of the company. The enterprise value is the total value of a company or a stock corporation. The net financial indebtedness of the company is added to the market capitalization.

Does the market capitalization influence the performance of Hoist Finance AB (publ)?

There is no verifiable long-term evidence or study that stocks with a specific market capitalization (whether Mega/Large/Mid/Small Cap) would consistently yield significantly higher returns than others. There are occasional small studies (few stocks, short investment period) suggesting that certain classes may perform better or have higher risk, but none of them are 1. conclusive (cause-effect relationship is unclear, experiment is not repeatable) or 2. generalizable (generalization is not possible due to small sample size and time period).

Does the market capitalization of Hoist Finance AB (publ) have an influence on indices?

Some stock indices use market capitalization as index weighting. Stocks with a higher market capitalization are also weighted higher in the index. This is in contrast to equally weighted indices (all stocks have the same weighting) and free float weighted indices (market capitalization weighting, but only with the number of shares in free float).

How much dividend does Hoist Finance AB (publ) pay?

Over the past 12 months, Hoist Finance AB (publ) paid a dividend of 1.9 SEK . This corresponds to a dividend yield of about 3.61 %. For the coming 12 months, Hoist Finance AB (publ) is expected to pay a dividend of 0 SEK.

What is the dividend yield of Hoist Finance AB (publ)?

The current dividend yield of Hoist Finance AB (publ) is 3.61 %.

When does Hoist Finance AB (publ) pay dividends?

Hoist Finance AB (publ) pays a quarterly dividend. This is distributed in the months of .

How secure is the dividend of Hoist Finance AB (publ)?

Hoist Finance AB (publ) paid dividends every year for the past 3 years.

What is the dividend of Hoist Finance AB (publ)?

For the upcoming 12 months, dividends amounting to 0 SEK are expected. This corresponds to a dividend yield of 0 %.

In which sector is Hoist Finance AB (publ) located?

Hoist Finance AB (publ) is assigned to the 'Finance' sector.

Wann musste ich die Aktien von Hoist Finance AB (publ) kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Hoist Finance AB (publ) from 5/23/2018 amounting to 1.9 SEK, you needed to have the stock in your portfolio before the ex-date on 5/17/2018.

When did Hoist Finance AB (publ) pay the last dividend?

The last dividend was paid out on 5/23/2018.

What was the dividend of Hoist Finance AB (publ) in the year 2023?

In the year 2023, Hoist Finance AB (publ) distributed 0 SEK as dividends.

In which currency does Hoist Finance AB (publ) pay out the dividend?

The dividends of Hoist Finance AB (publ) are distributed in SEK.

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Andere Kennzahlen von Hoist Finance AB (publ)

Our stock analysis for Hoist Finance AB (publ) Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Hoist Finance AB (publ) Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.