Financial objectives

Financial objectives

K-Fastigheter’s overarching objective is to generate value for the company’s shareholders. Over a business cycle, the generation of value is measured as growth in long-term net asset value per share. New targets have been set in connection with adoption of a new business plan for the period 2024-2028. A short description of the business plan is available by clicking here. On May 2, 2024, a Capital Markets Day was held in which the business plan was outlined. To take part of the material and see all presentations click here (Swedish). Group-wide target • At the end of 2028 NAV per share shall amount to SEK 50. Business segment Property Management • At the end of 2028 profit from property management per share shall amount to SEK 1.50. Business segment Construction • At the end of 2028 earnings per share in the business segment shall amount SEK 4.50. Risk Mitigation Measures • Equity/assets ratio at least 30%. • Interest coverage ratio should at least 1.75x. • Debt-to-equity ratio below 65%. Dividend policy K-Fastigheter’s overall goal is to create value for the shareholders. This is done by reinvesting in the business to create further growth through investments in new constructions, acquisition of properties and investing in existing properties. The dividend will therefore be low or none.
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