2026 Q2 -tulosraportti
UUTTA
3 päivää sitten
‧30 min
3,00 NOK/osake
Irtoamispäivä 14.7.
3,85%Tuotto/v
Tarjoustasot
Ei dataa
Viimeisimmät kaupat
| Aika | Hinta | Määrä | Ostaja | Myyjä |
|---|---|---|---|---|
| - | - | - | - |
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
Datan lähde: FactSet, Quartr| Seuraava tapahtuma | |
|---|---|
2026 Q3 -tulosraportti 22.10. |
| Menneet tapahtumat | ||
|---|---|---|
2026 Q2 -tulosraportti 10.7. | ||
2026 Q1 -tulosraportti 23.4. | ||
2025 Q4 -tulosraportti 29.1. | ||
2025 Q3 -tulosraportti 23.10.2025 | ||
2025 Q2 -tulosraportti 11.7.2025 |
Asiakkaat katsoivat myös
Foorumi
Liity keskusteluun Nordnet Socialissa
Kirjaudu
- ·6 t sittenPrimary insiders sell: Henrik Høye, CEO of Protector Forsikring ASA, and Hans Didring, Deputy CEO of Protector Forsikring ASA, (jointly the "Vendors") have today sold 100,000 shares each in Protector Forsikring ASA (the "Company"), representing 0.24% of the share capital and votes in the Company at a price of NOK 492 per share (the "Transaction"). The Company will not receive any proceeds from the sale of shares. Following the transaction, Henrik Høye holds 186,561 shares in the Company, representing 0.23% of the Company, and Hans Didring holds 181,520 shares in the Company, representing 0.22% of the Company. Both Henrik Høye and Hans Didring are primary insiders in the Company.
- ·9 t sittenManagement duo dumps shares according to Finansavisen
- ·2 päivää sittenThe - most likely - best analysts to evaluate the Q2 report are Hvaler Invest and Sverre & David Bjerkeli. They hit the "mark" on the result with 9 nok in EPS for Q2, which it also turned out to be (missed by 0.2 nok in EPS for Q1, which is also very good). They consider the report to be very strong - see www.hvalerinvest.noMy guess for the summer: the stock goes ex-dividend around July 21st and then mechanically falls about 3 kr, and in the news-poor summer window from July to September, I think we'll drift down towards 460-470. Why exactly there? That's where buyers showed up after the Q1 fall in April, and at 470 the stock is priced at approx 15x earnings, in line with Nordic peers, i.e., zero paid for the growth. And today a signal came that reinforces the picture: CEO and vice-CEO sold 100,000 shares each at 492, days after Q2. That's about a third of their holdings each. Feel free to call it diversification, but the two who know the book best thought 492 was a fair price to sell at. Then it's hard to argue that 490+ is cheap. If we are to go lower than 460, however, new bad news is required. No definitive answer, just numbers and signals pointing the same way.
- ·3 päivää sittenI think the report was very strong and positive. I intend to be here for a while, so seeing that the underlying operations and that customers want the products they offer - is the most important thing for me. And with a CR of 81.5% is not bad either. I almost only see the investment result as a plus. If I were to buy shares where the company invests the money for me, I would have bought Berkshire or Investor AB, or funds. I didn't think we would end the day in negative territory, but that's how these financial markets are. I at least bought more now at 490.And then came the news that underlines the point: The CEO and Vice-CEO sold 100,000 shares each today at 492, days after Q2. That is about one third of each of their holdings. People can call it diversification, but the two who know the book best thought 492 was a good price to sell at. Draw your own conclusions.
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Nordnet Socialin 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.
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.
2026 Q2 -tulosraportti
UUTTA
3 päivää sitten
‧30 min
3,00 NOK/osake
Irtoamispäivä 14.7.
3,85%Tuotto/v
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.
Foorumi
Liity keskusteluun Nordnet Socialissa
Kirjaudu
- ·6 t sittenPrimary insiders sell: Henrik Høye, CEO of Protector Forsikring ASA, and Hans Didring, Deputy CEO of Protector Forsikring ASA, (jointly the "Vendors") have today sold 100,000 shares each in Protector Forsikring ASA (the "Company"), representing 0.24% of the share capital and votes in the Company at a price of NOK 492 per share (the "Transaction"). The Company will not receive any proceeds from the sale of shares. Following the transaction, Henrik Høye holds 186,561 shares in the Company, representing 0.23% of the Company, and Hans Didring holds 181,520 shares in the Company, representing 0.22% of the Company. Both Henrik Høye and Hans Didring are primary insiders in the Company.
- ·9 t sittenManagement duo dumps shares according to Finansavisen
- ·2 päivää sittenThe - most likely - best analysts to evaluate the Q2 report are Hvaler Invest and Sverre & David Bjerkeli. They hit the "mark" on the result with 9 nok in EPS for Q2, which it also turned out to be (missed by 0.2 nok in EPS for Q1, which is also very good). They consider the report to be very strong - see www.hvalerinvest.noMy guess for the summer: the stock goes ex-dividend around July 21st and then mechanically falls about 3 kr, and in the news-poor summer window from July to September, I think we'll drift down towards 460-470. Why exactly there? That's where buyers showed up after the Q1 fall in April, and at 470 the stock is priced at approx 15x earnings, in line with Nordic peers, i.e., zero paid for the growth. And today a signal came that reinforces the picture: CEO and vice-CEO sold 100,000 shares each at 492, days after Q2. That's about a third of their holdings each. Feel free to call it diversification, but the two who know the book best thought 492 was a fair price to sell at. Then it's hard to argue that 490+ is cheap. If we are to go lower than 460, however, new bad news is required. No definitive answer, just numbers and signals pointing the same way.
- ·3 päivää sittenI think the report was very strong and positive. I intend to be here for a while, so seeing that the underlying operations and that customers want the products they offer - is the most important thing for me. And with a CR of 81.5% is not bad either. I almost only see the investment result as a plus. If I were to buy shares where the company invests the money for me, I would have bought Berkshire or Investor AB, or funds. I didn't think we would end the day in negative territory, but that's how these financial markets are. I at least bought more now at 490.And then came the news that underlines the point: The CEO and Vice-CEO sold 100,000 shares each today at 492, days after Q2. That is about one third of each of their holdings. People can call it diversification, but the two who know the book best thought 492 was a good price to sell at. Draw your own conclusions.
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Nordnet Socialin 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
Ei dataa
Viimeisimmät kaupat
| Aika | Hinta | Määrä | Ostaja | Myyjä |
|---|---|---|---|---|
| - | - | - | - |
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
Asiakkaat katsoivat myös
Yhtiötapahtumat
Datan lähde: FactSet, Quartr| Seuraava tapahtuma | |
|---|---|
2026 Q3 -tulosraportti 22.10. |
| Menneet tapahtumat | ||
|---|---|---|
2026 Q2 -tulosraportti 10.7. | ||
2026 Q1 -tulosraportti 23.4. | ||
2025 Q4 -tulosraportti 29.1. | ||
2025 Q3 -tulosraportti 23.10.2025 | ||
2025 Q2 -tulosraportti 11.7.2025 |
2026 Q2 -tulosraportti
UUTTA
3 päivää sitten
‧30 min
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
Datan lähde: FactSet, Quartr| Seuraava tapahtuma | |
|---|---|
2026 Q3 -tulosraportti 22.10. |
| Menneet tapahtumat | ||
|---|---|---|
2026 Q2 -tulosraportti 10.7. | ||
2026 Q1 -tulosraportti 23.4. | ||
2025 Q4 -tulosraportti 29.1. | ||
2025 Q3 -tulosraportti 23.10.2025 | ||
2025 Q2 -tulosraportti 11.7.2025 |
3,00 NOK/osake
Irtoamispäivä 14.7.
3,85%Tuotto/v
Foorumi
Liity keskusteluun Nordnet Socialissa
Kirjaudu
- ·6 t sittenPrimary insiders sell: Henrik Høye, CEO of Protector Forsikring ASA, and Hans Didring, Deputy CEO of Protector Forsikring ASA, (jointly the "Vendors") have today sold 100,000 shares each in Protector Forsikring ASA (the "Company"), representing 0.24% of the share capital and votes in the Company at a price of NOK 492 per share (the "Transaction"). The Company will not receive any proceeds from the sale of shares. Following the transaction, Henrik Høye holds 186,561 shares in the Company, representing 0.23% of the Company, and Hans Didring holds 181,520 shares in the Company, representing 0.22% of the Company. Both Henrik Høye and Hans Didring are primary insiders in the Company.
- ·9 t sittenManagement duo dumps shares according to Finansavisen
- ·2 päivää sittenThe - most likely - best analysts to evaluate the Q2 report are Hvaler Invest and Sverre & David Bjerkeli. They hit the "mark" on the result with 9 nok in EPS for Q2, which it also turned out to be (missed by 0.2 nok in EPS for Q1, which is also very good). They consider the report to be very strong - see www.hvalerinvest.noMy guess for the summer: the stock goes ex-dividend around July 21st and then mechanically falls about 3 kr, and in the news-poor summer window from July to September, I think we'll drift down towards 460-470. Why exactly there? That's where buyers showed up after the Q1 fall in April, and at 470 the stock is priced at approx 15x earnings, in line with Nordic peers, i.e., zero paid for the growth. And today a signal came that reinforces the picture: CEO and vice-CEO sold 100,000 shares each at 492, days after Q2. That's about a third of their holdings each. Feel free to call it diversification, but the two who know the book best thought 492 was a fair price to sell at. Then it's hard to argue that 490+ is cheap. If we are to go lower than 460, however, new bad news is required. No definitive answer, just numbers and signals pointing the same way.
- ·3 päivää sittenI think the report was very strong and positive. I intend to be here for a while, so seeing that the underlying operations and that customers want the products they offer - is the most important thing for me. And with a CR of 81.5% is not bad either. I almost only see the investment result as a plus. If I were to buy shares where the company invests the money for me, I would have bought Berkshire or Investor AB, or funds. I didn't think we would end the day in negative territory, but that's how these financial markets are. I at least bought more now at 490.And then came the news that underlines the point: The CEO and Vice-CEO sold 100,000 shares each today at 492, days after Q2. That is about one third of each of their holdings. People can call it diversification, but the two who know the book best thought 492 was a good price to sell at. Draw your own conclusions.
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Nordnet Socialin 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
Ei dataa
Viimeisimmät kaupat
| Aika | Hinta | Määrä | Ostaja | Myyjä |
|---|---|---|---|---|
| - | - | - | - |
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






