Acrinova AB Series B - Asset Resilience Ratio

Latest as of March 2026: 4.94%

Acrinova AB Series B (ACRI-B) has an Asset Resilience Ratio of 4.94% as of March 2026. The Asset Resilience Ratio measures the percentage of a company's total assets that are held in liquid form (cash and short-term investments). This metric indicates how well-positioned the company is to handle unexpected financial challenges, economic downturns, or strategic opportunities without requiring external financing. Check ACRI-B capital-intensive asset ratio to assess the company's strategic physical and investment asset allocation.

Liquid Assets

Skr50.04 Million
≈ $5.38 Million USD Cash + Short-term Investments

Total Assets

Skr1.01 Billion
≈ $109.08 Million USD All company assets

Resilience Assessment

Low
Financial Resilience Level

Asset Resilience Ratio Trend (2019–2022)

This chart shows how Acrinova AB Series B's Asset Resilience Ratio has changed over time. See net asset quality index of Acrinova AB Series B to measure how much of total assets are equity-financed.

Liquid Assets Composition Over Time

This chart breaks down Acrinova AB Series B's liquid assets into cash & equivalents and short-term investments, showing how the composition has evolved over time. For market capitalisation and broader financial context, see ACRI-B stock market capitalisation.

Current Liquid Assets Breakdown

Component Amount % of Total Assets
Cash & Equivalents Skr0.00 0%
Short-term Investments Skr50.04 Million 4.94%
Total Liquid Assets Skr50.04 Million 4.94%

Asset Resilience Insights

  • Limited Liquidity: Acrinova AB Series B maintains only 4.94% of assets in liquid form.
  • This low level may indicate efficient asset utilization but could pose risks during economic downturns.
  • The company has significant short-term investments, indicating active treasury management.

Acrinova AB Series B Industry Peers by Asset Resilience Ratio

Compare Acrinova AB Series B's asset resilience ratio with other companies in the same industry.

Company Industry Asset Resilience Ratio
Mega Or
TA:MGOR
Real Estate - Diversified 0.57%
Fastighets AB Balder (publ)
ST:BALD-B
Real Estate - Diversified 5.54%
IMMOFINANZ AG
VI:IIA
Real Estate - Diversified 0.03%
Corem Property Group AB (publ)
ST:CORE-B
Real Estate - Diversified 3.40%
Toivo Group Oyj
HE:TOIVO
Real Estate - Diversified 7.03%
Lendlease Group
AU:LLC
Real Estate - Diversified 0.41%
Aspen Group
AU:APZ
Real Estate - Diversified 0.94%
Lifestyle Communities Ltd
AU:LIC
Real Estate - Diversified 0.19%

Annual Asset Resilience Ratio for Acrinova AB Series B (2019–2022)

The table below shows the annual Asset Resilience Ratio data for Acrinova AB Series B.

Year Asset Resilience Ratio (%) Liquid Assets Total Assets Change
2022-12-31 -2.85% Skr-59.77 Million
≈ $-6.43 Million
Skr2.10 Billion
≈ $225.53 Million
-2.68pp
2021-12-31 -0.17% Skr-3.18 Million
≈ $-342.43K
Skr1.83 Billion
≈ $197.07 Million
+0.08pp
2020-12-31 -0.26% Skr-2.59 Million
≈ $-278.73K
Skr1.01 Billion
≈ $109.17 Million
+0.02pp
2019-12-31 -0.27% Skr-2.21 Million
≈ $-238.26K
Skr813.30 Million
≈ $87.52 Million
--
pp = percentage points

About Acrinova AB Series B

ST:ACRI-B Sweden Real Estate - Diversified
Market Cap
$22.08 Million
Skr205.19 Million SEK
Market Cap Rank
#24819 Global
#497 in Sweden
Share Price
Skr7.20
Change (1 day)
+0.00%
52-Week Range
Skr7.20 - Skr14.50
All Time High
Skr14.50
About

Acrinova AB (publ), a real estate company, owns, develops, and manages real estate properties in Sweden. It offers residential properties, offices, and logistics/production properties. The company was incorporated in 2014 and is headquartered in Malmö, Sweden.