Siirry pääsisältöön
Käyttämääsi selainta ei enää tueta – lue lisää.
Osake
Nasdaq Stockholm
INVE A

Investor A

Investor A

285,80SEK
+0,25% (+0,70)
Päätöskurssi
Ylin287,00
Alin284,50
Vaihto
35,9 MSEK
285,80SEK
+0,25% (+0,70)
Päätöskurssi
Ylin287,00
Alin284,50
Vaihto
35,9 MSEK
Osake
Nasdaq Stockholm
INVE A

Investor A

Investor A

285,80SEK
+0,25% (+0,70)
Päätöskurssi
Ylin287,00
Alin284,50
Vaihto
35,9 MSEK
285,80SEK
+0,25% (+0,70)
Päätöskurssi
Ylin287,00
Alin284,50
Vaihto
35,9 MSEK
Osake
Nasdaq Stockholm
INVE A

Investor A

Investor A

285,80SEK
+0,25% (+0,70)
Päätöskurssi
Ylin287,00
Alin284,50
Vaihto
35,9 MSEK
285,80SEK
+0,25% (+0,70)
Päätöskurssi
Ylin287,00
Alin284,50
Vaihto
35,9 MSEK
Q2-osavuosiraportti
60 päivää sitten1 t 14 min
1,45 SEK/osake
Irtoamispäivä 7.11.
1,82 %
Tuotto/v

Tarjoustasot

SwedenNasdaq Stockholm
Määrä
Osto
15 960
Myynti
Määrä
18 459

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
3--
3--
164--
200--
136--
Ylin
287
VWAP
286
Alin
284,5
VaihtoMäärä
35,9 125 376
VWAP
286
Ylin
287
Alin
284,5
VaihtoMäärä
35,9 125 376

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt

Yhtiötapahtumat

Seuraava tapahtuma
2025 Q3-osavuosiraportti
16.10.
Menneet tapahtumat
2025 Q2-osavuosiraportti17.7.
2024 Yhtiökokous7.5.
2025 Q1-osavuosiraportti23.4.
2024 Q4-osavuosiraportti23.1.
2024 Q3-osavuosiraportti17.10.2024
Datan lähde: Millistream, Quartr

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 18.6.
    ·
    18.6.
    ·
    Analysis: Investor vs Lundberg In Sparpodden, the two investment companies are compared in terms of holdings, valuations and history. Among other things, it is highlighted that Investor is more offensive. Link: https://youtu.be/Bkp1bz-p1Ck?si=eovqTzihZH5k8iue&t=2150
  • 13.6.
    ·
    13.6.
    ·
    Oh, now I've really reorganized my portfolio. Sold half of Investor and the entire Europe ETF and increased Troax, Poland ETF and Pfizer and added Aker, Opticept, Raysearch, Camurus and BTS. And then I'll sit on my hands if nothing radical happens. If it crashes this summer, I'll sell the bond fund and increase. And then we'll see how it goes. I'll probably come back to increase Investor again in the future.
    13.6.
    ·
    13.6.
    ·
    Why did you sell Investor?
    13.6.
    ·
    13.6.
    ·
    I sold half because I see higher potential in the rest. There has been resistance in Investor for a while now and I doubt it will lift significantly in the next year as it looks.
  • 12.5.
    ·
    12.5.
    ·
    Does it make sense to try to hit as close as possible to NAV if you are DCA Investor?
    10.6.
    ·
    10.6.
    ·
    I usually run with DCA from when everything feels the worst. Financial crisis, Brexit, Covid. Maybe a nuclear threat when Putin realizes he lost. Will not be realized, Could be a financial crisis in the US in a few years. Buy 1 share in a regular deposit and go to the meeting. Free sandwich 👍
  • 26.4.
    ·
    26.4.
    ·
    Whether you like stocks or not, this is a perfect alternative to mutual funds! Buy, hold for 10 years and reinvest all dividends. You will probably be richly rewarded :)
    30.4.
    ·
    30.4.
    ·
    Yes, there is no reason to sell everything in Investor. But some use the stock as a "bank" and it can also be easily swing-traded on a monthly basis. For people who are just "saving", Investor is a safe choice. Always, in 1 year's time, above the index. I don't think Trump's tariffs will shake that development too much.
  • 23.4.
    ·
    23.4.
    ·
    Key points from Investor AB Q1 2025 report **Financial development and key figures** - Investor AB reported solid results for Q1 2025, with continued growth in Net Asset Value (NAV) and strong contributions from several of its portfolio companies. - NAV per share increased compared to the previous quarter, driven by positive value development in both listed and unlisted investments. - The company maintains a robust balance sheet and good liquidity, with significant available financial resources. **Portfolio development** - The largest contributions to value growth came from the healthcare and technology sectors, especially from companies such as Atlas Copco, SEB and ABB. - Unlisted investments also showed positive development, with several companies reporting increased revenue and profitability. - Investor AB has continued to invest in existing portfolio companies and is evaluating new opportunities within strategic growth areas. **Dividend and capital allocation** - The board of directors proposes both ordinary and extraordinary dividends for 2024, reflecting the company's strong financial position and ability to generate cash flow. - The company has completed a share buyback during the quarter. **Market conditions and outlook** - Investor AB considers the macroeconomic picture to remain uncertain, but sees attractive investment opportunities within its prioritized sectors. - The company maintains its long-term focus on value creation through active ownership and strategic development of the portfolio companies. **Other important points** - The company reports a diversified portfolio both geographically and sectorally, which contributes to risk diversification. - Investor AB continues to prioritize sustainability and responsible investments as an integral part of its strategy. **Conclusion:** Investor AB delivered a strong first quarter in 2025, with increased NAV, good contributions from key companies, and a solid financial position. The company continues to focus on long-term value creation, sustainability and strategic capital allocation.
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Uutiset ja analyysit

Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Tuotteita joiden kohde-etuutena tämä arvopaperi

Q2-osavuosiraportti
60 päivää sitten1 t 14 min
1,45 SEK/osake
Irtoamispäivä 7.11.
1,82 %
Tuotto/v

Uutiset ja analyysit

Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 18.6.
    ·
    18.6.
    ·
    Analysis: Investor vs Lundberg In Sparpodden, the two investment companies are compared in terms of holdings, valuations and history. Among other things, it is highlighted that Investor is more offensive. Link: https://youtu.be/Bkp1bz-p1Ck?si=eovqTzihZH5k8iue&t=2150
  • 13.6.
    ·
    13.6.
    ·
    Oh, now I've really reorganized my portfolio. Sold half of Investor and the entire Europe ETF and increased Troax, Poland ETF and Pfizer and added Aker, Opticept, Raysearch, Camurus and BTS. And then I'll sit on my hands if nothing radical happens. If it crashes this summer, I'll sell the bond fund and increase. And then we'll see how it goes. I'll probably come back to increase Investor again in the future.
    13.6.
    ·
    13.6.
    ·
    Why did you sell Investor?
    13.6.
    ·
    13.6.
    ·
    I sold half because I see higher potential in the rest. There has been resistance in Investor for a while now and I doubt it will lift significantly in the next year as it looks.
  • 12.5.
    ·
    12.5.
    ·
    Does it make sense to try to hit as close as possible to NAV if you are DCA Investor?
    10.6.
    ·
    10.6.
    ·
    I usually run with DCA from when everything feels the worst. Financial crisis, Brexit, Covid. Maybe a nuclear threat when Putin realizes he lost. Will not be realized, Could be a financial crisis in the US in a few years. Buy 1 share in a regular deposit and go to the meeting. Free sandwich 👍
  • 26.4.
    ·
    26.4.
    ·
    Whether you like stocks or not, this is a perfect alternative to mutual funds! Buy, hold for 10 years and reinvest all dividends. You will probably be richly rewarded :)
    30.4.
    ·
    30.4.
    ·
    Yes, there is no reason to sell everything in Investor. But some use the stock as a "bank" and it can also be easily swing-traded on a monthly basis. For people who are just "saving", Investor is a safe choice. Always, in 1 year's time, above the index. I don't think Trump's tariffs will shake that development too much.
  • 23.4.
    ·
    23.4.
    ·
    Key points from Investor AB Q1 2025 report **Financial development and key figures** - Investor AB reported solid results for Q1 2025, with continued growth in Net Asset Value (NAV) and strong contributions from several of its portfolio companies. - NAV per share increased compared to the previous quarter, driven by positive value development in both listed and unlisted investments. - The company maintains a robust balance sheet and good liquidity, with significant available financial resources. **Portfolio development** - The largest contributions to value growth came from the healthcare and technology sectors, especially from companies such as Atlas Copco, SEB and ABB. - Unlisted investments also showed positive development, with several companies reporting increased revenue and profitability. - Investor AB has continued to invest in existing portfolio companies and is evaluating new opportunities within strategic growth areas. **Dividend and capital allocation** - The board of directors proposes both ordinary and extraordinary dividends for 2024, reflecting the company's strong financial position and ability to generate cash flow. - The company has completed a share buyback during the quarter. **Market conditions and outlook** - Investor AB considers the macroeconomic picture to remain uncertain, but sees attractive investment opportunities within its prioritized sectors. - The company maintains its long-term focus on value creation through active ownership and strategic development of the portfolio companies. **Other important points** - The company reports a diversified portfolio both geographically and sectorally, which contributes to risk diversification. - Investor AB continues to prioritize sustainability and responsible investments as an integral part of its strategy. **Conclusion:** Investor AB delivered a strong first quarter in 2025, with increased NAV, good contributions from key companies, and a solid financial position. The company continues to focus on long-term value creation, sustainability and strategic capital allocation.
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Tarjoustasot

SwedenNasdaq Stockholm
Määrä
Osto
15 960
Myynti
Määrä
18 459

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
3--
3--
164--
200--
136--
Ylin
287
VWAP
286
Alin
284,5
VaihtoMäärä
35,9 125 376
VWAP
286
Ylin
287
Alin
284,5
VaihtoMäärä
35,9 125 376

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt

Yhtiötapahtumat

Seuraava tapahtuma
2025 Q3-osavuosiraportti
16.10.
Menneet tapahtumat
2025 Q2-osavuosiraportti17.7.
2024 Yhtiökokous7.5.
2025 Q1-osavuosiraportti23.4.
2024 Q4-osavuosiraportti23.1.
2024 Q3-osavuosiraportti17.10.2024
Datan lähde: Millistream, Quartr

Tuotteita joiden kohde-etuutena tämä arvopaperi

Q2-osavuosiraportti
60 päivää sitten1 t 14 min

Uutiset ja analyysit

Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Yhtiötapahtumat

Seuraava tapahtuma
2025 Q3-osavuosiraportti
16.10.
Menneet tapahtumat
2025 Q2-osavuosiraportti17.7.
2024 Yhtiökokous7.5.
2025 Q1-osavuosiraportti23.4.
2024 Q4-osavuosiraportti23.1.
2024 Q3-osavuosiraportti17.10.2024
Datan lähde: Millistream, Quartr

Tuotteita joiden kohde-etuutena tämä arvopaperi

1,45 SEK/osake
Irtoamispäivä 7.11.
1,82 %
Tuotto/v

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 18.6.
    ·
    18.6.
    ·
    Analysis: Investor vs Lundberg In Sparpodden, the two investment companies are compared in terms of holdings, valuations and history. Among other things, it is highlighted that Investor is more offensive. Link: https://youtu.be/Bkp1bz-p1Ck?si=eovqTzihZH5k8iue&t=2150
  • 13.6.
    ·
    13.6.
    ·
    Oh, now I've really reorganized my portfolio. Sold half of Investor and the entire Europe ETF and increased Troax, Poland ETF and Pfizer and added Aker, Opticept, Raysearch, Camurus and BTS. And then I'll sit on my hands if nothing radical happens. If it crashes this summer, I'll sell the bond fund and increase. And then we'll see how it goes. I'll probably come back to increase Investor again in the future.
    13.6.
    ·
    13.6.
    ·
    Why did you sell Investor?
    13.6.
    ·
    13.6.
    ·
    I sold half because I see higher potential in the rest. There has been resistance in Investor for a while now and I doubt it will lift significantly in the next year as it looks.
  • 12.5.
    ·
    12.5.
    ·
    Does it make sense to try to hit as close as possible to NAV if you are DCA Investor?
    10.6.
    ·
    10.6.
    ·
    I usually run with DCA from when everything feels the worst. Financial crisis, Brexit, Covid. Maybe a nuclear threat when Putin realizes he lost. Will not be realized, Could be a financial crisis in the US in a few years. Buy 1 share in a regular deposit and go to the meeting. Free sandwich 👍
  • 26.4.
    ·
    26.4.
    ·
    Whether you like stocks or not, this is a perfect alternative to mutual funds! Buy, hold for 10 years and reinvest all dividends. You will probably be richly rewarded :)
    30.4.
    ·
    30.4.
    ·
    Yes, there is no reason to sell everything in Investor. But some use the stock as a "bank" and it can also be easily swing-traded on a monthly basis. For people who are just "saving", Investor is a safe choice. Always, in 1 year's time, above the index. I don't think Trump's tariffs will shake that development too much.
  • 23.4.
    ·
    23.4.
    ·
    Key points from Investor AB Q1 2025 report **Financial development and key figures** - Investor AB reported solid results for Q1 2025, with continued growth in Net Asset Value (NAV) and strong contributions from several of its portfolio companies. - NAV per share increased compared to the previous quarter, driven by positive value development in both listed and unlisted investments. - The company maintains a robust balance sheet and good liquidity, with significant available financial resources. **Portfolio development** - The largest contributions to value growth came from the healthcare and technology sectors, especially from companies such as Atlas Copco, SEB and ABB. - Unlisted investments also showed positive development, with several companies reporting increased revenue and profitability. - Investor AB has continued to invest in existing portfolio companies and is evaluating new opportunities within strategic growth areas. **Dividend and capital allocation** - The board of directors proposes both ordinary and extraordinary dividends for 2024, reflecting the company's strong financial position and ability to generate cash flow. - The company has completed a share buyback during the quarter. **Market conditions and outlook** - Investor AB considers the macroeconomic picture to remain uncertain, but sees attractive investment opportunities within its prioritized sectors. - The company maintains its long-term focus on value creation through active ownership and strategic development of the portfolio companies. **Other important points** - The company reports a diversified portfolio both geographically and sectorally, which contributes to risk diversification. - Investor AB continues to prioritize sustainability and responsible investments as an integral part of its strategy. **Conclusion:** Investor AB delivered a strong first quarter in 2025, with increased NAV, good contributions from key companies, and a solid financial position. The company continues to focus on long-term value creation, sustainability and strategic capital allocation.
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Tarjoustasot

SwedenNasdaq Stockholm
Määrä
Osto
15 960
Myynti
Määrä
18 459

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
3--
3--
164--
200--
136--
Ylin
287
VWAP
286
Alin
284,5
VaihtoMäärä
35,9 125 376
VWAP
286
Ylin
287
Alin
284,5
VaihtoMäärä
35,9 125 376

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt