Toivo Group Oyj (TOIVO) — Strategic Asset Allocation Index

Latest as of March 2025: 0.3%

Toivo Group Oyj (TOIVO) has a Strategic Asset Allocation Index of 0.3% as of March 2025. Strategic assets (PP&E of €245.00K plus long-term investments of €-) total €245.00K, measured against net assets of €70.10 Million. A higher index reflects capital-intensive or investment-heavy strategies where strategic assets dominate the equity base.

SAAI

0.3%
Strategic Assets / Net Assets

Strategic Assets

€245.00K
PP&E + LT Investments

PP&E

€245.00K
EUR

Net Assets

€70.10 Million
EUR

Toivo Group Oyj Strategic Asset Allocation Index (2020–2024)

This chart shows how Toivo Group Oyj's Strategic Asset Allocation Index has evolved across 5 annual periods from 2020 to 2024. As of March 2025, the index stands at 0.3%, representing strategic assets of €245.00K against net assets of €70.10 Million EUR. Explore TOIVO cash flow metrics to assess how effectively this company generates cash.

Annual Strategic Asset Allocation Index for Toivo Group Oyj (2020–2024)

The table below presents the year-by-year Strategic Asset Allocation Index for Toivo Group Oyj from 2020 to 2024, covering 5 annual filings. Each row shows PP&E, long-term investments, strategic assets combined, net assets, the index percentage, and the change in percentage points compared to the prior year. For the full company profile including market capitalisation, see market cap of Toivo Group Oyj.

Year SAAI Strategic Assets (EUR) PP&E LT Investments Net Assets Change (pp)
2024 0.4% €257.00K €257.00K €- €69.43 Million ▲ +0.0 pp
2023 0.4% €244.00K €244.00K €- €68.83 Million ▼ -14.4 pp
2022 14.8% €10.33 Million €10.33 Million €- €70.01 Million ▲ +7.2 pp
2021 7.6% €4.11 Million €4.11 Million €- €54.42 Million ▼ -2.2 pp
2020 9.7% €2.65 Million €2.65 Million €- €27.29 Million
pp = percentage points