Hoist Finance AB (publ) (STO:HOFI)

Sweden flag Sweden · Delayed Price · Currency is SEK
147.50
-1.90 (-1.27%)
Apr 28, 2026, 5:29 PM CET
80.65%
Market Cap 13.06B
Revenue (ttm) 4.43B
Net Income (ttm) 1.01B
Shares Out 87.42M
EPS (ttm) 11.59
PE Ratio 12.89
Forward PE 11.18
Dividend 3.26 (2.18%)
Ex-Dividend Date May 8, 2026
Volume 101,364
Average Volume 141,567
Open 150.00
Previous Close 149.40
Day's Range 147.50 - 150.90
52-Week Range 79.45 - 171.50
Beta 1.13
RSI 43.22
Earnings Date May 6, 2026

About Hoist Finance AB

Hoist Finance AB (publ), a credit market company, engages in the loan acquisition and management operations in Europe. It operates through Unsecured and Secured segments. The company purchases performing and non-performing loans from its partners, international banks, and financial institutions; responsible for secured non-performing loans, including recovery activities, call centre and collateral management. It also provides debt restructuring solutions. In addition, it offers savings, current, and fixed-term deposit account. The company was f... [Read more]

Industry Credit Services
Sector Financials
Founded 1915
Employees 1,069
Stock Exchange Nasdaq Stockholm
Ticker Symbol HOFI
Full Company Profile

Financial Performance

In 2025, Hoist Finance AB's revenue was 4.43 billion, an increase of 4.46% compared to the previous year's 4.24 billion. Earnings were 1.01 billion, an increase of 15.36%.

Financial Statements

News

Hoist Finance AB (FRA:4HF) Q4 2025 Earnings Call Highlights: Record Collection Performance and ...

Hoist Finance AB (FRA:4HF) Q4 2025 Earnings Call Highlights: Record Collection Performance and Strategic Growth Initiatives

2 months ago - GuruFocus

Hoist Finance AB Earnings Call Transcript: Q4 2025

Record Q4 and full-year results driven by strong collections, portfolio growth, and cost control. Achieved SDR status, expanded funding sources, and maintained robust capital and liquidity, positioning for further growth in 2026.

2 months ago - Transcripts

Hoist Finance AB (LTS:0R65) Q3 2025 Earnings Call Highlights: Strong Portfolio Growth Amid ...

Hoist Finance AB (LTS:0R65) Q3 2025 Earnings Call Highlights: Strong Portfolio Growth Amid Rising Funding Costs

6 months ago - GuruFocus

Q3 2025 Hoist Finance AB (publ) Earnings Call Transcript

Q3 2025 Hoist Finance AB (publ) Earnings Call Transcript

6 months ago - GuruFocus

Hoist Finance AB Earnings Call Transcript: Q3 2025

Profit before tax reached SEK 349 million in Q3 2025, with adjusted growth of 13% year-over-year and return on equity at 17.6%. Portfolio investments totaled SEK 2.4 billion, and the company is on track for SDR status in February 2026, expecting increased investment capacity and continued cost discipline.

6 months ago - Transcripts

Hoist Finance AB Earnings Call Transcript: Q2 2025

Q2 2025 saw profit before tax of SEK 310 million, with strong underlying ROE of 16.1% and robust portfolio growth. Cost control, high collection performance, and a solid investment pipeline support the target of SEK 36 billion by 2026. Moody’s upgraded the outlook to positive.

9 months ago - Transcripts

Hoist Finance AB Earnings Call Transcript: Q1 2025

Q1 2025 saw profit before tax rise 19% to SEK 332 million and return on equity at 16.7%, driven by core business growth and cost control. Portfolio value increased 10% year-over-year, and the company is on track for SDR status in 2026, with a strong investment pipeline and robust capital position.

1 year ago - Transcripts

Hoist Finance AB Earnings Call Transcript: Q4 2024

Record portfolio investments and strong core business performance drove 16.8% ROE and 50% net earnings growth in 2024. Regulatory uncertainty around SDR status persists, but capital and liquidity positions remain robust, supporting continued growth ambitions.

1 year ago - Transcripts

Hoist Finance AB Earnings Call Transcript: Q3 2024

Record Q3 investments and strong returns drove profit before tax to SEK 369 million, with ROE at 16% and robust liquidity and capital positions. Portfolio growth and supportive market conditions underpin a positive outlook, with collection performance expected to rebound in Q4.

1 year ago - Transcripts

Hoist Finance AB Transcript: CMD 2024

A data-driven, low-risk NPL manager is targeting profitable growth, aiming to double its portfolio while maintaining a leading ROE above 15%. With industry-leading funding costs, robust risk management, and a push for SDR status, it is well positioned for continued expansion in a dynamic European NPL market.

1 year ago - Transcripts

Hoist Finance AB Earnings Call Transcript: Q2 2024

Q2 saw robust profit growth, strong portfolio investments, and 18% ROE, with underlying business performance in line with targets. The board will pursue SDR status, simplifying capital requirements and supporting future growth, while maintaining a stable funding base.

1 year ago - Transcripts