Kvika banki hf
Research Kvika banki hf (KVIKA) on Bullrun: valuation model: 9.7% undervalued, market cap ISK 61.96B, P/E 10.8, dividend yield 2.7%. Explore financials, valuation history, model signals, and stock context.
Key Metrics
- TickerKVIKA
- ExchangeIC
- CountryIceland
- SectorFinancial Services
- IndustryBanks - Regional
- CurrencyISK
- Valuation signal9.7% undervalued
- Market capISK 61.96B
- P/E10.8
- Dividend yield2.7%
- Financial periodFY2024
- Net incomeISK 8.15B
- Free cash flowISK 17.95B
Valuation Snapshot
Bullrun's latest valuation model marks Kvika banki hf as 9.7% undervalued; latest market cap is ISK 61.96B; P/E is 10.8; dividend yield is 2.7%.
About Kvika banki hf
Kvika banki hf., together with its subsidiaries, provides asset management, payment, and banking services to businesses, investors, and individuals in Iceland and the United Kingdom. The company operates through Asset Management, Commercial Banking, Investment Banking, UK Operations, and Treasury segments. The Asset Management segment offers asset management services, including domestic and foreign assets, private banking, and private pension plans.
Frequently asked questions
Is Kvika banki hf overvalued or undervalued?
Bullrun's valuation model currently marks Kvika banki hf as 9.7% undervalued.
What is Kvika banki hf's market cap?
Kvika banki hf's market capitalization is ISK 61.96B.
What is Kvika banki hf's P/E ratio?
Kvika banki hf's price-to-earnings (P/E) ratio is 10.8.
Does Kvika banki hf pay a dividend?
Kvika banki hf has a dividend yield of 2.7%.
What does Kvika banki hf do?
Kvika banki hf., together with its subsidiaries, provides asset management, payment, and banking services to businesses, investors, and individuals in Iceland and the United Kingdom.