Hoist Finance AB

Research Hoist Finance AB (HOFI) on Bullrun: valuation model: 6.7% overvalued, market cap SEK 15.51B, P/E 13.8, dividend yield 1.9%. Explore financials, valuation history, model signals, and stock context.

Key Metrics

Valuation Snapshot

Bullrun's latest valuation model marks Hoist Finance AB as 6.7% overvalued; latest market cap is SEK 15.51B; P/E is 13.8; dividend yield is 1.9%.

About Hoist Finance AB

Hoist Finance AB (publ), a credit market company, engages in the loan acquisition and management operations in Europe. It operates through Unsecured and Secured segments. The company purchases performing and non-performing loans from its partners, international banks, and financial institutions; responsible for secured non-performing loans, including recovery activities, call centre and collateral management. It also provides debt restructuring solutions.

Frequently asked questions

Is Hoist Finance AB overvalued or undervalued?

Bullrun's valuation model currently marks Hoist Finance AB as 6.7% overvalued.

What is Hoist Finance AB's market cap?

Hoist Finance AB's market capitalization is SEK 15.51B.

What is Hoist Finance AB's P/E ratio?

Hoist Finance AB's price-to-earnings (P/E) ratio is 13.8.

Does Hoist Finance AB pay a dividend?

Hoist Finance AB has a dividend yield of 1.9%.

What does Hoist Finance AB do?

Hoist Finance AB (publ), a credit market company, engages in the loan acquisition and management operations in Europe. It operates through Unsecured and Secured segments. The company purchases performing and non-performing loans from its partners, international banks, and financial institutions;