
147.00 SEK (−0.1%)
7 analysts
What does it do?
Bravida Holding AB is a Swedish technical services company for building installation and maintenance, offering plumbing, electrical, HVAC, and security solutions for the Nordic market.
Listed on Nasdaq Estocolmo · Symbol BRAV.ST · STO: BRAV · Currency SEK
Key points
from its scores- ✓Good share-price trend9.4
- ✓Strong growth7.5
- ✓Favourable backdrop7.2
- !Average business quality5.1
- !Somewhat demanding valuation5.1
AI analysis
bottom line, main risk, context and newsStrong growth and good momentum offset a tight operating margin and a valuation with no room for error.
Bravida Holding shows earnings growth of 60.30% and momentum of 62.20%, with moderate financial health (Net Debt/EBITDA of 1.80) and a reasonable valuation (P/E 21.44). The maintenance services business in the Nordic countries offers stability, although the operating margin of 5.41% is tight.
The main risk is dependence on the construction and maintenance cycle in the Nordic countries, which could be affected by an economic slowdown or an increase in material costs.
Context and risks
Bravida Holding AB is a Swedish technical services company for building installation and maintenance. Its business is oriented towards the Nordic market, with stable demand linked to construction and infrastructure maintenance. No material exposure to current macro factors (interest rates, commodities, shipping routes, or tariffs) that directly and demonstrably affects its results has been identified. Governance risk in Sweden is moderate, and no specific regulatory or geopolitical risks warrant an additional adjustment.
Is Bravida Holding stock cheap or expensive?
at the analysis dateOn P/E and EV / EBITDA, it trades in line with the Industrials median (within 15%).
| Multiple | Company | Sector | Difference |
|---|---|---|---|
| P/E | 21.4 | 25.4 | −16% |
| EV / EBITDA | 18.5 | 14.5 | +28% |
| Price / book | 3.3 | 4.1 | −19% |
| Price / sales | 1.0 | 2.1 | −50% |
Sector: median of the 388 Industrials companies analysed. In bold, the multiples used for the comparison.
Valuation score: 5.1 out of 10 (median for Industrials: 5.0).
Average analyst target: 147.00 SEK, −0.1% versus the price.
Classic formulas with standard assumptions (0.0% growth, 8-9% discount rate). Indicative only: they change a lot with the assumptions and are not a recommendation.
Work out its fair value yourself →How much would you have made investing every month? →
Comparing it with its sector does not say whether it is a good buy: this is not investment advice.
Score by category
0 to 10 · hover overtap each one to see what it measuresKey metrics
at the analysis date · compared with the Industrials medianValuation
- P/E
- 21.4
- Forward P/E
- 22.0
- EV / EBITDA
- 18.5
- Price / book
- 3.3
- Price / sales
- 1.0
- PEG
- 0.72
- Market cap
- 29.9B SEK
- Enterprise value
- 33.3B SEK
Profitability
- ROE
- 16.0%
- ROA
- 4.5%
- ROIC (approx.)
- 12.0%
- Gross margin
- 15.3%
- Operating margin
- 5.4%
- Net margin
- 4.8%
- Free cash flow
- 972.0M SEK
- FCF yield
- 3.3%
- Cash conversion
- 54%
Solvency
- Total debt
- 4.0B SEK
- Net debt
- 3.2B SEK
- Cash
- 764.0M SEK
- EBITDA
- 1.8B SEK
- Net debt / EBITDA
- 1.80
- Debt / equity
- 43.67
- Current ratio
- 0.86
- Quick ratio
- 0.78
Growth
- Revenue growth
- +9.4%
- Earnings growth
- +60.3%
- EPS (TTM)
- 6.86 SEK
- EPS (forward)
- 6.69 SEK
Dividend
- Dividend yield
- 2.6%
- Payout
- 55.5%
Risk and market
- Beta
- 0.85
- Analyst consensus
- Buy (7)
- Target price
- 147.00 SEK
- 52-week range
- 78.25 – 152.80
Recent news
All BRAV.ST news →Compare it with its sector
All 388 in Industrials →Frequently asked questions about Bravida Holding
Is Bravida Holding stock cheap or expensive?
On P/E and EV / EBITDA, it trades in line with the Industrials median (within 15%). Valuation score: 5.1 out of 10 (median for Industrials: 5.0). Average analyst target: 147.00 SEK, −0.1% versus the price. This is not investment advice.
What score does Bravida Holding get on MeridIAn Screener?
It scores 6.2 out of 10, rank 794 of 2,130 (better than 60% of the companies analysed). Its strongest category is Momentum (9.4) and its weakest, Quality / Moat (5.1). Analysis of 08/10/2026.
What is Bravida Holding's P/E ratio?
Its P/E is 21.4: the share price equals 21.4 times earnings per share over the last 12 months. The Industrials median is 25.4. Based on the earnings analysts expect, the forward P/E is 22.0.
How much is Bravida Holding worth on the stock market?
Its market capitalisation is 29.9B SEK and its enterprise value, debt included, is 33.3B SEK.
How much debt does Bravida Holding have?
Its net debt (debt minus cash) is 3.2B SEK. That is 1.80 times its EBITDA; the Industrials median is 1.58.
Does Bravida Holding pay a dividend?
Yes: its dividend yield is 2.58% and it pays out 55% of its earnings.
How has Bravida Holding stock performed over the last year?
It has risen 65.0% over the last year, excluding dividends. Over the last 52 weeks it has traded between 78.25 and 152.80 SEK. Past performance does not guarantee future results.
What do analysts think of Bravida Holding?
7 analysts cover it; their average recommendation is “Buy” and their average target is 147.00 SEK (−0.1% versus the price). It is an estimate, not market data.
