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Catella AB Class B Catella AB Class B

Catella AB Class B

0RL4
Rank in Stocks #19134
Catella AB engages in the business of specializing in property investments and... Catella AB engages in the business of specializing in property investments and fund management. It operates through the following segments: Investment Management, Principal Investments, Corporate Finance, and Other. The Investment Management segment focuses on property funds and asset management. The Principal Investments segment is involved in real estate investments alongside partners and external investors. The Corporate Finance segment provides quality capital market services to property owners and advisory services. The company was founded in 1987 and is headquartered in Stockholm, Sweden.
Share Price
$2.07
Market Cap
$174.47M
Change (1 day)
0.38%
Change (1 year)
-34.55%
Country
SE
Trade Catella AB Class B (0RL4)
P/E ratio for Catella AB Class B (0RL4)
P/E ratio as of 2026 TTM: 0
According to Catella AB Class B latest financial reports and stock price the company's current price-to-earnings ratio (TTM) is 0. At the end of 2026 the company had a P/E ratio of 0.
P/E ratio history for Catella AB Class B from 2026 to 2026
P/E ratio at the end of each year
Year P/E Ratio Change
Not enough data for the provided dates.
P/E ratio for similar companies or competitors
How to read a P/E ratio?

The Price/Earnings ratio measures the relationship between a company's stock price and its earnings per share.
A low but positive P/E ratio stands for a company that is generating high earnings compared to its current valuation and might be undervalued. A company with a high negative (near 0) P/E ratio stands for a company that is generating heavy losses compared to its current valuation.

Companies with a P/E ratio over 30 or a negative one are generaly seen as "growth stocks" meaning that investors typically expect the company to grow or to become profitable in the future.

Companies with a positive P/E ratio bellow 10 are generally seen as "value stocks" meaning that the company is already very profitable and unlikely to strong growth in the future.