Railcare Group AB (publ) (ST:RAIL) — Stock Price

Skr36.30 SEK
▼ -2.94% today

Railcare Group AB (publ) (ST:RAIL) is currently trading at Skr36.30 SEK, down 2.94% today. Over the past 52 weeks, shares have ranged between Skr25.80 and Skr37.90. This page tracks Railcare Group AB (publ)'s live share price on the ST exchange, its daily price and volume history, and — where reported — its income statement, balance sheet, cash flow statement, and earnings history. For company valuation and market capitalisation context, see RAIL stock market capitalisation.

Railcare Group AB (publ) (RAIL) Stock Price Chart — Daily History & Trading Volume

The chart below tracks Railcare Group AB (publ)'s daily closing share price and trading volume on the ST exchange over the past year, giving a clear view of recent price momentum and liquidity.

Railcare Group AB (publ) Income Statement — Revenue, Profit & Earnings by Year

Railcare Group AB (publ)'s annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.

Fiscal Year 20252024202320222021
Total Revenue Skr667.57 Million Skr635.30 Million Skr564.22 Million Skr497.04 Million Skr437.94 Million
Cost of Revenue Skr604.25 Million Skr564.20 Million Skr409.41 Million Skr370.16 Million Skr323.69 Million
Gross Profit Skr63.33 Million Skr71.10 Million Skr154.81 Million Skr126.87 Million Skr114.25 Million
Research & Development Skr170.00K Skr170.00K Skr593.00K Skr863.00K
SG&A Skr196.93 Million Skr170.13 Million Skr146.34 Million Skr62.86 Million
Total Operating Expenses Skr599.94 Million Skr387.82 Million Skr84.52 Million Skr74.26 Million Skr60.84 Million
Operating Income Skr63.33 Million Skr66.28 Million Skr67.93 Million Skr52.37 Million Skr56.22 Million
EBITDA Skr200.75 Million Skr168.43 Million Skr112.01 Million Skr93.56 Million Skr107.51 Million
EBIT Skr63.33 Million Skr62.03 Million Skr68.08 Million Skr52.38 Million Skr56.28 Million
Interest Expense Skr15.30 Million Skr21.37 Million Skr16.56 Million Skr5.45 Million Skr4.39 Million
Income Before Tax Skr52.34 Million Skr40.77 Million Skr57.87 Million Skr46.91 Million Skr51.67 Million
Income Tax Expense Skr12.53 Million Skr10.39 Million Skr13.77 Million Skr10.12 Million Skr11.15 Million
Net Income Skr39.81 Million Skr30.39 Million Skr43.62 Million Skr36.78 Million Skr40.51 Million

Railcare Group AB (publ) Balance Sheet — Assets, Liabilities & Shareholder Equity

The balance sheet below summarizes Railcare Group AB (publ)'s financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.

Fiscal Year 20252024202320222021
Total Assets Skr1.16 Billion Skr1.04 Billion Skr643.02 Million Skr592.87 Million Skr557.97 Million
Total Current Assets Skr235.57 Million Skr180.71 Million Skr168.19 Million Skr141.90 Million Skr125.00 Million
Cash & Equivalents Skr61.69 Million Skr39.43 Million Skr31.98 Million Skr38.56 Million
Short-term Investments Skr658.00K Skr658.00K
Net Receivables Skr100.64 Million Skr72.65 Million Skr85.96 Million Skr65.52 Million Skr52.75 Million
Inventory Skr68.64 Million Skr38.15 Million Skr36.28 Million Skr32.25 Million Skr27.97 Million
Property, Plant & Equipment Skr822.46 Million Skr712.85 Million Skr438.12 Million Skr418.32 Million
Goodwill Skr6.30 Million Skr6.30 Million Skr6.30 Million Skr7.29 Million
Total Liabilities Skr846.25 Million Skr757.30 Million Skr368.90 Million Skr348.78 Million Skr336.81 Million
Total Current Liabilities Skr394.73 Million Skr323.48 Million Skr237.75 Million Skr150.54 Million Skr143.55 Million
Long-term Debt Skr87.20 Million Skr76.51 Million Skr74.35 Million Skr100.83 Million Skr97.04 Million
Net Debt Skr877.07 Million Skr530.13 Million Skr168.64 Million Skr186.09 Million Skr179.16 Million
Total Stockholder Equity Skr310.83 Million Skr286.47 Million Skr274.12 Million Skr244.09 Million Skr221.15 Million
Retained Earnings Skr256.38 Million Skr242.88 Million Skr212.21 Million Skr189.90 Million

Railcare Group AB (publ) Cash Flow Statement — Operating, Investing & Financing Activities

This cash flow statement breaks down how Railcare Group AB (publ) generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.

Fiscal Year 20252024202320222021
Operating Cash Flow Skr166.93 Million Skr151.72 Million Skr102.28 Million Skr67.40 Million Skr100.24 Million
Capital Expenditures Skr41.53 Million Skr66.28 Million Skr57.36 Million Skr53.27 Million Skr43.18 Million
Free Cash Flow Skr125.40 Million Skr85.44 Million Skr41.91 Million Skr14.12 Million Skr57.06 Million
Investing Cash Flow Skr-46.95 Million Skr-87.48 Million Skr-60.72 Million Skr-53.16 Million Skr-38.88 Million
Financing Cash Flow Skr-115.30 Million Skr-42.10 Million Skr-34.26 Million Skr-21.21 Million Skr-47.90 Million
Dividends Paid Skr-16.89 Million Skr-16.89 Million Skr-14.47 Million Skr14.47 Million Skr14.47 Million
Stock-Based Compensation
Depreciation Skr137.43 Million Skr106.23 Million Skr44.10 Million Skr42.81 Million Skr52.10 Million
Change in Cash Skr4.60 Million Skr22.26 Million Skr7.46 Million Skr-6.58 Million Skr13.77 Million

Railcare Group AB (publ) Earnings History — EPS Actual vs. Analyst Estimates

Track Railcare Group AB (publ)'s quarterly earnings per share (EPS) against Wall Street estimates, along with the earnings surprise percentage for each reporting period.

Report Date EPS Actual EPS Estimate Surprise
May 05, 2026
Nov 06, 2025 0.85
Aug 14, 2025 0.33
May 05, 2025 0.19
Feb 20, 2025 0.13
Nov 07, 2024 0.51
Aug 15, 2024 0.41
May 07, 2024 0.37