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Hemfosa Fastigheter AB (HEMF.ST)

HEMF.ST on Stockholm Stock Exchange

109.40SEK
14 Dec 2017
Change (% chg)

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109.40kr
Open
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Day's High
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Day's Low
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Volume
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Avg. Vol
344,322
52-wk High
112.60kr
52-wk Low
77.25kr

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About

Hemfosa Fastigheter AB is a Sweden-based company engaged in long-term management of properties. It specializes in owning, managing and purchasing of properties primarily in Sweden. The Company's portfolio consists of office, commercial and industrial properties both for rental and sale. In June 2014, the Company acquired... (more)

Overall

Beta: 0.93
Market Cap(Mil.): kr19,346.98
Shares Outstanding(Mil.): 168.73
Dividend: 1.10
Yield (%): 4.00

Financials

  Industry Sector
P/E (TTM): -- 19.70 15.47
EPS (TTM): -- -- --
ROI: -- 7.25 33.71
ROE: -- 10.96 16.38

BRIEF-Hemfosa Q3 profit from property management falls to SEK ‍​515 mln

* Q3 PROFIT FROM PROPERTY MANAGEMENT SEK ‍​515 MILLION VERSUS SEK 582 MILLION YEAR AGO

Nov 08 2017

BRIEF-Hemfosa Fastigheter evaluates mulls splitting into two listed groups

* Hemfosa fastigheter evaluates the conditions for splitting the group into two listed companies, one company that will focus on community service properties and one transaction-based, opportunistic company

Nov 07 2017

BRIEF-Hemfosa Fastigheter buys properties in Norway for NOK 293 mln

* HEMFOSA FASTIGHETER ACQUIRES PROPERTIES IN NORWAY FOR A TOTAL VALUE OF APPROXIMATELY MNOK 293 Source text for Eikon: Further company coverage: (Gdynia Newsroom)

Aug 21 2017

BRIEF-Hemfosa Fastigheter buys property for NOK 160 mln

* SAID ON FRIDAY ACQUIRED COMMUNITY SERVICE PROPERTY IN NORWAY AT A PROPERTY VALUE OF NOK 160 MLN

Jul 10 2017

BRIEF-Hemfosa Fastigheter buys community service property in Norway

* HEMFOSA FASTIGHETER ACQUIRES COMMUNITY SERVICEPROPERTY IN NORWAY AT A PROPERTY VALUE OF MNOK 118

Jul 06 2017

BRIEF-Hemfosa buys community service properties in Sweden for SEK 135 million

* HEMFOSA ACQUIRES COMMUNITY SERVICE PROPERTIES IN SWEDEN FOR A VALUE OF MSEK 135

Jul 03 2017

BRIEF-Hemfosa issues unsecured bonds

* BONDS ISSUED AT RATE OF 101.2%, THAT CORRESPONDS TO A VARIABLE COUPON RATE ON STIBOR 3M + 2.35 PERCENT POINTS WITH FINAL MATURITY DATE IN SEPT 2020 Source text for Eikon: Further company coverage: (Gdynia Newsroom)

Jun 30 2017

Earnings vs. Estimates