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Stock Screener·Sweden·Industrials·VOLO.ST
Share

Volati AB Stocks

SEK 31.7Last Updated 12.06.2026

Issuer Rating

4/7
Performance

Favourable

Risk

Moderate

Recommendation

Hold

Market Cap

SEK 304.17M

SEK 31.7
Key Takeaways

Risk factor

Poor trading liquidity

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Profitability factor

Favourable analyst view

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Risks

  • Default risk
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  • Volatility
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  • Selling difficulty
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  • Stress test
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  • Country risks
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  • Other risks
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About

Volati AB, a private equity firm founded in Stockholm, Sweden, in 2003, focuses on providing capital for growth, executing management buyouts, and supporting strategic add-on acquisitions. The firm primarily seeks established, mid-market enterprises, with a preference for small to medium-sized companies in Sweden, the wider Nordic region, and Europe. Their investment strategy involves acquiring majority ownership stakes and taking board seats, targeting businesses that exhibit robust cash flow generation. Volati finances these investments directly from its own balance sheet. The firm's sector interests are organized into three main categories: Trading, Consumer, and Industry. Within the Trading segment, they actively pursue opportunities in diverse areas such as building materials, various consumables, construction materials (including concrete, cut stones, and stone products), paper and forest products, industrial goods, home and garden products, and agricultural businesses. In the Consumer sector, their focus includes database marketing, digital transformation, and e-commerce ventures. For the Industry sector, Volati targets companies involved in international expansion, lean manufacturing processes, human resources, as well as those operating in the broader consumer discretionary, consumer staples, and utilities industries. Financially, Volati typically invests between $20 million and nearly $60 million per transaction. They look for companies with an enterprise value up to approximately $120 million, annual revenues spanning from around $2.4 million to $300 million, and an EBITDA between $2 million and almost $18 million.

Company Valuation

Slightly undervalued
5/7

Considering past and projected metrics, the stock is distinctly 'cheaper' than its peers. Specifically, the stock is 'cheap' on P/E, neutral on EV/EBITDA, underpriced on

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Target Price

Favourable
6/7
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Risks

  • Default risk
    Data is available to registered users only
  • Volatility
    Data is available to registered users only
  • Selling difficulty
    Data is available to registered users only
  • Stress test
    Data is available to registered users only
  • Country risks
    Data is available to registered users only
  • Other risks
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