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XSTO
HAKI A
Market cap61mUSD
Jan 15, Last price  
24.60SEK
Name

Midway Holding AB

Chart & Performance

D1W1MN
P/E
13.81
P/S
0.54
EPS
1.78
Div Yield, %
Shrs. gr., 5y
0.27%
Rev. gr., 5y
0.39%
Revenues
1.05b
-11.62%
0588,400,000863,200,0001,168,000,0001,188,000,0001,050,000,000
Net income
41m
-33.87%
0-600,00058,100,00071,000,00062,000,00041,000,000
CFO
-4m
L
0118,100,000101,100,000-53,000,000153,000,000-4,000,000
Dividend
Oct 27, 20230.4 SEK/sh

Profile

Midway Holding AB (publ) offers scaffolding systems and services for complex projects in industry, infrastructure, and construction. It develops and delivers scaffolding systems, weather protection systems, hanging scaffolding, and stamping systems; develops, produces, and markets equipment for converting plastic materials to rolled products; operates as a subcontractor; and offers customized system solutions; and provides contract manufacturing for industrial customers. The company also imports and sells grinding and construction machines, lifting equipment, material handling equipment, air purifiers, industrial vacuums cleaners, and twister cleaning systems and lasers to construction industry. Midway Holding AB (publ) was founded in 1989 and is headquartered in Malmö, Sweden.
IPO date
Jan 01, 1989
Employees
Domiciled in
SE
Incorporated in
SE

Valuation

Title
SEK in thousands, except ratios and share amounts
FYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑12
Income
Revenues
1,050,000
-11.62%
1,188,000
1.71%
1,168,000
35.31%
Cost of revenue
991,000
1,109,000
1,094,000
Unusual Expense (Income)
NOPBT
59,000
79,000
74,000
NOPBT Margin
5.62%
6.65%
6.34%
Operating Taxes
9,000
16,000
22,000
Tax Rate
15.25%
20.25%
29.73%
NOPAT
50,000
63,000
52,000
Net income
41,000
-33.87%
62,000
-12.68%
71,000
22.20%
Dividends
(25,000)
(22,000)
(21,000)
Dividend yield
2.93%
Proceeds from repurchase of equity
BB yield
Debt
Debt current
42,000
52,000
Long-term debt
567,000
452,000
446,000
Deferred revenue
26,000
24,000
Other long-term liabilities
244,000
54,000
81,000
Net debt
532,000
441,000
466,000
Cash flow
Cash from operating activities
(4,000)
153,000
(53,000)
CAPEX
(8,000)
(23,000)
(55,000)
Cash from investing activities
(37,000)
(74,000)
(158,000)
Cash from financing activities
22,000
(55,000)
203,000
FCF
(98,000)
25,000
(339,000)
Balance
Cash
35,000
53,000
32,000
Long term investments
Excess cash
Stockholders' equity
628,000
599,000
Invested Capital
1,414,000
1,140,000
1,105,000
ROIC
3.92%
5.61%
5.71%
ROCE
4.17%
6.80%
6.58%
EV
Common stock shares outstanding
27,703
27,679
27,679
Price
25.90
10.21%
Market cap
716,890
11.62%
EV
1,182,890
EBITDA
59,000
129,000
117,000
EV/EBITDA
10.11
Interest
25,000
12,000
Interest/NOPBT
31.65%
16.22%