Skanska AB Financials
SKBSY Stock | USD 20.12 0.17 0.85% |
Skanska |
Understanding current and past Skanska AB Financials, including the trends in assets, liabilities, equity and income are directly related to making proper and timely investing decisions. All of Skanska AB's financial statements are interrelated, with each one affecting the others. For example, an increase in Skanska AB's assets may result in an increase in income on the income statement.
Please note, the imprecision that can be found in Skanska AB's accounting process means that the reasonable investor should take a skeptical approach toward the financial statement analysis of Skanska AB ser. Check Skanska AB's Beneish M Score to see the likelihood of Skanska AB's management manipulating its earnings.
Skanska AB Stock Summary
Skanska AB competes with Aecom Technology, Matrix Service, MYR, Fluor, and EMCOR. Skanska AB operates as a construction and project development company in the Nordic region, Europe, and the United States. Skanska AB was founded in 1887 and is headquartered in Stockholm, Sweden. Skanska Ab is traded on OTC Exchange in the United States.Instrument | USA Pink Sheet View All |
Exchange | PINK Exchange |
ISIN | US8305612058 |
Business Address | Warfvinges vAeg 25, |
Sector | Industrials |
Industry | Engineering & Construction |
Benchmark | Dow Jones Industrial |
Website | www.skanska.com |
Phone | 46 1 04 48 00 00 |
Currency | USD - US Dollar |
Skanska AB Key Financial Ratios
Skanska AB's financial ratios allow both analysts and investors to convert raw data from Skanska AB's financial statements into concise, actionable information that can be used to evaluate the performance of Skanska AB over time and compare it to other companies across industries.Return On Equity | 0.16 | |||
Return On Asset | 0.0329 | |||
Beta | 1.25 | |||
Z Score | 2.2 |
Skanska Financial Ratios Relationships
Comparative valuation techniques use various fundamental indicators to help in determining Skanska AB's current stock value. Our valuation model uses many indicators to compare Skanska AB value to that of its competitors to determine the firm's financial worth. You can analyze the relationship between different fundamental ratios across Skanska AB competition to find correlations between indicators driving Skanska AB's intrinsic value. More Info.Skanska AB ser is currently regarded as top stock in return on equity category among its peers. It also is currently regarded as top stock in return on asset category among its peers reporting about 0.20 of Return On Asset per Return On Equity. The ratio of Return On Equity to Return On Asset for Skanska AB ser is roughly 4.98 . Comparative valuation analysis is a catch-all model that can be used if you cannot value Skanska AB by discounting back its dividends or cash flows. This model doesn't attempt to find an intrinsic value for Skanska AB's Pink Sheet. Still, instead, it compares the stock's price multiples to a benchmark or nearest competition to determine if the stock is relatively undervalued or overvalued.Skanska AB ser Systematic Risk
Skanska AB's systematic risk plays a vital role in portfolio allocation when considering its stock to be added to a well-diversified portfolio. Skanska AB volatility which cannot be eliminated through diversification, requires returns over the risk-free rate. Over the long run, a well-diversified portfolio provides returns that match its exposure to systematic risk. In this case, investors face a trade-off between expected returns and systematic risk and, therefore, can only reduce a portfolio's exposure to systematic risk by sacrificing expected returns on the portfolio.
The function did not generate any output. Please change time horizon or modify your input parameters. The output start index for this execution was one with a total number of output elements of sixty. The Beta measures systematic risk based on how returns on Skanska AB ser correlated with the market. If Beta is less than 0 Skanska AB generally moves in the opposite direction as compared to the market. If Skanska AB Beta is about zero movement of price series is uncorrelated with the movement of the benchmark. if Beta is between zero and one Skanska AB ser is generally moves in the same direction as, but less than the movement of the market. For Beta = 1 movement of Skanska AB is generally in the same direction as the market. If Beta > 1 Skanska AB moves generally in the same direction as, but more than the movement of the benchmark.
Skanska AB November 26, 2024 Opportunity Range
Along with financial statement analysis, the daily predictive indicators of Skanska AB help investors to analyze its daily demand and supply, volume, patterns, and price swings to determine the real value of Skanska AB ser. We use our internally-developed statistical techniques to arrive at the intrinsic value of Skanska AB ser based on widely used predictive technical indicators. In general, we focus on analyzing Skanska Pink Sheet price patterns and their correlations with different microeconomic environment and drivers. We also apply predictive analytics to build Skanska AB's daily price indicators and compare them against related drivers.
Downside Deviation | 1.36 | |||
Information Ratio | (0.09) | |||
Maximum Drawdown | 7.75 | |||
Value At Risk | (2.07) | |||
Potential Upside | 2.11 |
Additional Tools for Skanska Pink Sheet Analysis
When running Skanska AB's price analysis, check to measure Skanska AB's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Skanska AB is operating at the current time. Most of Skanska AB's value examination focuses on studying past and present price action to predict the probability of Skanska AB's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Skanska AB's price. Additionally, you may evaluate how the addition of Skanska AB to your portfolios can decrease your overall portfolio volatility.