ContextVision Stock

ContextVision Debt

The Debt of ContextVision (CONTX.OL) as of Aug 13, 2026 is -126.07 M SEK. In the previous year, Debt was -137.21 M SEK — a change of -8.12% (higher).

Debt

-126.07 MSEK

YoY

-8.12%

Last updated:

In 2026, ContextVision's total debt was -126.07 M SEK, a -8.12% change from the -137.21 M SEK total debt recorded in the previous year.

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ContextVision Stock analysis

What does ContextVision do? ContextVision AB is a global provider of medical imaging software, specializing in the development and provision of advanced software for use in radiology, mammography, ultrasound, and digital pathology. They offer a wide range of products, including VOCAL for three-dimensional analysis of volume data, GOPView® US for real-time optimization of ultrasound images, and INIFY Prostate for the analysis of tissue samples in prostate cancer. The company is committed to continuous improvement and innovation, working closely with customers and partners to exchange ideas and incorporate innovative technologies in modern medicine. ContextVision is one of the most popular companies on Eulerpool.

Debt Details

Understanding ContextVision's Debt Structure

ContextVision's total debt refers to the cumulative financial obligations the company owes to external parties. This can include short-term and long-term borrowings, bonds, loans, and other financial instruments. Assessing the company's debt levels is crucial for evaluating its financial health, risk profile, and ability to fund operations and expansions.

Year-to-Year Comparison

Analyzing ContextVision's debt structure over the years provides insights into the firm’s financial strategy and stability. A reduction in debt can indicate financial strength and operational efficiency, while an increase may signal growth investments or potential financial challenges ahead.

Impact on Investments

Investors pay close attention to ContextVision’s debt levels as they can influence the company’s risk and return profiles. Excessive debt can lead to financial strain, while moderate and well-managed debt can be a catalyst for growth and expansion, making it a critical aspect of investment evaluations.

Interpreting Debt Fluctuations

Shifts in ContextVision’s debt levels can be attributed to various operational and strategic factors. An increase in debt might be geared towards funding expansion projects or enhancing operational capacity, while a decrease may indicate profit realizations or an approach to minimize financial risk and leverage.

Frequently Asked Questions about ContextVision stock

Debt of ContextVision is -126.07 M SEK in 2026.

Debt of ContextVision changed from -137.21 M SEK to -126.07 M SEK, representing a -8.12% change. The value is higher than the previous year.

On Eulerpool you can find the complete historical development of Debt ContextVision since 2006 – with annual values, charts, and detailed analysis.

Debt's SEK is a key factor for investors. Changes in this metric can signal improving or deteriorating fundamentals, directly impacting the stock price. On Eulerpool, you can track Debt's ContextVision historically and in real time.

Access this data via the Eulerpool API

Balance Sheet — ContextVision

All Key Metrics — ContextVision