Hexagon AB (publ) risk profile

36 Normal where most of the sector sits

Measured 1 September 2026 from HEXA-B's filed statements. Recomputed nightly.

36 (Normal), driven by Competitive position at 44, over 4 weighted categories on the MANUFACTURER profile.

What is measured

MechanismReadingBandDirectionDriver
Market expectation35NormalStableOne-year price volatility — 32.5%
Operating pressure29NormalEasingOperating-margin drift — +3.3 percentage points
Cash conversion19ContainedStableCash conversion — 1.53x
Leverage and coverageReads total_debt, cash_and_cash_equivalents, ebitda, interest_expense, total_current_assets, total_current_liabilities and a disclosed CET1 ratio, for a bank or insurer. No reading is stored for this company.
Competitive position44ElevatedStableRevenue-growth gap against peers — -7.7 percentage points
ConcentrationReads identified supplier spend, customers above the 10% disclosure threshold and revenue by region. No reading is stored for this company.

These are descriptive readings of disclosed mechanisms, not investment advice, and not a prediction. A band says where a measured input sits, never what to do about it or what happens next.

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Financials, valuation and price history for Hexagon AB (publ)