Investment AB Latour
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Intrinsic Value
The intrinsic value of one LATO B stock under the Base Case scenario is 196.08 SEK. Compared to the current market price of 273.9 SEK, Investment AB Latour is Overvalued by 28%.
The Intrinsic Value is calculated as the average of DCF and Relative values:
Valuation Backtest
Investment AB Latour
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Fundamental Analysis
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Investment AB Latour is a prominent Swedish investment company that has cultivated a reputation for its strategic focus on long-term value creation. Established in 1985, Latour operates with a distinctive investment philosophy that echoes the principles of patience and thorough analysis championed by legendary investors like Warren Buffett. The firm primarily invests in privately held companies and publicly traded equities, with a significant emphasis on sectors such as technology, industrials, and consumer goods. By forging strong partnerships and actively engaging with management teams, Investment AB Latour ensures that it not only holds a stake in its investments but also contributes to t...
Investment AB Latour is a prominent Swedish investment company that has cultivated a reputation for its strategic focus on long-term value creation. Established in 1985, Latour operates with a distinctive investment philosophy that echoes the principles of patience and thorough analysis championed by legendary investors like Warren Buffett. The firm primarily invests in privately held companies and publicly traded equities, with a significant emphasis on sectors such as technology, industrials, and consumer goods. By forging strong partnerships and actively engaging with management teams, Investment AB Latour ensures that it not only holds a stake in its investments but also contributes to their strategic direction, fostering sustainable growth over time.
The heart of Latour's strategy lies in its diversified portfolio, which allows investors to benefit from a variety of revenue streams while mitigating risks. With a keen eye for undervalued opportunities, the company has consistently delivered solid returns, making it an attractive choice for investors seeking stability and growth. Latour's commitment to transparency and a disciplined investment approach resonates well within the investment community, as it builds trust and confidence over the long run. For those looking to navigate the complexities of the investment landscape, Investment AB Latour presents a compelling narrative of resilience and strategic foresight, solidifying its position as a worthy contender in the realm of investment firms.
Investment AB Latour is a Swedish investment firm that primarily focuses on long-term investments in high-quality companies, primarily in Scandinavia and Western Europe. The core business segments of Investment AB Latour can be categorized into the following areas:
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Industrial Operations:
- This segment includes investments in companies that manufacture and sell industrial products. Latour often invests in firms that have strong market positions and offer robust, value-added products and services. These operations may include sectors like manufacturing, engineering, and technology.
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Consumer Products:
- Investment AB Latour invests in companies within the consumer goods sector, which may include brands that produce everyday household items, personal care products, or food and beverages. These investments are typically in businesses with strong brand loyalty and established distribution networks.
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Financial Investments:
- This segment encompasses a portfolio of financial assets, including stocks, bonds, and other securities. Latour actively manages its investment portfolio to optimize returns, focusing on companies with sustainable competitive advantages and strong fundamentals.
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Real Assets:
- Investment AB Latour may also engage in investments related to real estate and other tangible assets. This can include commercial properties or other forms of real estate that provide stable income and appreciation potential.
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Venture Capital:
- Latour may also participate in venture capital investments, targeting start-ups and early-stage companies with high growth potential, primarily in technology and innovative sectors.
Investment AB Latour prides itself on a long-term investment philosophy, emphasizing patience, thorough analysis, and a deep understanding of its target industries. This strategic approach aims to identify undervalued businesses that are well-positioned for sustainable growth.
Investment AB Latour, a Swedish investment company, has several unique competitive advantages that set it apart from its rivals. Here are some key factors:
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Diverse Investment Portfolio: Latour's investment strategy is characterized by a diversified portfolio, primarily focused on both direct holdings in companies and financial investments. This diversification helps mitigate risk and allows for balanced exposure to various sectors.
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Long-Term Investment Horizon: The company emphasizes a long-term investment approach, akin to the strategies espoused by Warren Buffett and Charlie Munger. This allows Latour to withstand market fluctuations and focus on value creation over time, rather than short-term profits.
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Strong Operational Expertise: Latour has a history of investing in companies where it can add operational value. Their management team's expertise in both financial and operational aspects allows for effective oversight and strategic guidance of their portfolio companies.
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Strategic Partnerships: Investment AB Latour often forms strategic partnerships with the companies in which it invests. This collaborative approach can lead to synergies and innovation that enhance the performance of their portfolio companies, providing a competitive edge.
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Focus on Quality Businesses: Inspired by Buffett and Munger's teachings, Latour tends to invest in high-quality companies with strong fundamentals, competitive advantages, and solid management teams. This focus on quality helps in building a resilient portfolio.
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Geographic Coverage: With a significant footprint in Sweden and a growing presence in various international markets, Latour benefits from exposure to multiple economies and industries. This geographic diversity can mitigate risks associated with local market downturns.
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Strong Brand Reputation: Latour has established a strong brand reputation in the investment community, which can facilitate better deals and access to high-quality investment opportunities compared to lesser-known competitors.
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Robust Financial Position: With a solid balance sheet and a track record of profitability, Investment AB Latour enjoys greater financial flexibility, enabling it to take on new investments and weather economic downturns better than some rivals.
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Adherence to Quality Investment Principles: Latour's investment philosophy is grounded in principles of value investing, focusing on intrinsic value, company fundamentals, and sustainable competitive advantages. This disciplined approach helps them avoid speculative investments.
In summary, Investment AB Latour’s combination of diversified investments, long-term focus, operational expertise, strategic partnerships, and a reputation for quality positions it uniquely in the investment landscape, allowing it to compete effectively against its rivals.
Investment AB Latour, like any investment firm, faces a variety of risks and challenges that could impact its performance. Here are some potential risks and challenges that the company may encounter in the near future:
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Market Volatility: Economic conditions and market fluctuations can affect the valuation of investments, impacting overall portfolio performance. Given the current economic climate, including inflationary pressures and geopolitical tensions, market volatility is a significant risk.
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Economic Downturn: A potential recession or slowdown in key markets could adversely affect the performance of its portfolio companies, particularly those in cyclical industries.
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Competition: Intense competition in the investment space, including from private equity firms and other investment companies, may affect deal sourcing and investment performance.
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Operational Risks: The management of a diverse portfolio requires expertise and efficiency. Operational challenges, such as mismanagement or poor decision-making, can lead to losses.
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Regulatory Environment: Changes in regulations, both in Sweden and in international markets where its investments are located, can create compliance risks and affect business operations.
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Interest Rate Risks: Rising interest rates can increase borrowing costs for portfolio companies and can also lead to decreased valuations, particularly in interest-sensitive sectors.
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Sector-Specific Risks: Given that Latour has investments in various sectors, specific risks related to certain industries, such as technology or manufacturing, can impact performance.
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Sustainability and ESG Concerns: Increasing focus on environmental, social, and governance (ESG) criteria may require Latour to adapt its investments to meet new standards or investor expectations.
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Currency Risk: Investments in foreign markets expose Latour to currency exchange risk, which can affect the overall returns when converting back to the Swedish krona.
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Valuation Challenges: Accurate valuation of private companies and determining the right exit strategy can be challenging, especially in uncertain markets.
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Management Succession Planning: As with many investment firms, ensuring a smooth transition in leadership and maintaining the institutional knowledge within the organization can be critical for long-term success.
By identifying and managing these risks, Investment AB Latour can better position itself to navigate the complexities of the investment landscape in the near future.
Revenue & Expenses Breakdown
Investment AB Latour
Balance Sheet Decomposition
Investment AB Latour
Current Assets | 12.9B |
Cash & Short-Term Investments | 1.8B |
Receivables | 6.2B |
Other Current Assets | 4.9B |
Non-Current Assets | 53B |
Long-Term Investments | 32B |
PP&E | 3.6B |
Intangibles | 17.4B |
Current Liabilities | 12.2B |
Short-Term Debt | 110m |
Other Current Liabilities | 12.1B |
Non-Current Liabilities | 11.3B |
Long-Term Debt | 9.8B |
Other Non-Current Liabilities | 1.5B |
Earnings Waterfall
Investment AB Latour
Revenue
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25.3B
SEK
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Cost of Revenue
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-15.4B
SEK
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Gross Profit
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10B
SEK
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Operating Expenses
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-6.7B
SEK
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Operating Income
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3.3B
SEK
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Other Expenses
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2.8B
SEK
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Net Income
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6.1B
SEK
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Free Cash Flow Analysis
Investment AB Latour
SEK | |
Free Cash Flow | SEK |
In the third quarter of 2024, Investment AB Latour demonstrated resilience, achieving a 2% increase in net sales driven by a mix of organic and acquisition-related growth across its subsidiaries. Despite a subdued business climate, order intake rose by 3%, underpinned by acquisitions reflecting their strategic focus on value and market share. The company maintained a healthy operating margin of 14.9%. Notably, they have executed six acquisitions year-to-date, projected to add SEK 2.4 billion in annual net sales. Looking ahead, growth forecasts remain cautious due to economic conditions but signal optimism for future profitability.
What is Earnings Call?
LATO B Profitability Score
Profitability Due Diligence
Investment AB Latour's profitability score is 55/100. The higher the profitability score, the more profitable the company is.
Score
Investment AB Latour's profitability score is 55/100. The higher the profitability score, the more profitable the company is.
LATO B Solvency Score
Solvency Due Diligence
Investment AB Latour's solvency score is 65/100. The higher the solvency score, the more solvent the company is.
Score
Investment AB Latour's solvency score is 65/100. The higher the solvency score, the more solvent the company is.
Wall St
Price Targets
LATO B Price Targets Summary
Investment AB Latour
Dividends
Current shareholder yield for LATO B is .
Shareholder yield represents the total return a company provides to its shareholders, calculated as the sum of dividend yield, buyback yield, and debt paydown yield. What is shareholder yield?
Ownership
LATO B Insider Trading
Buy and sell transactions by insiders
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Profile
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Industry
Market Cap
Dividend Yield
Description
Investment AB Latour operates as an investment company, which operates in two business lines: the wholly owned industrial operations and a portfolio with listed holdings. The company is headquartered in Goeteborg, Vastra Gotalands and currently employs 7,684 full-time employees. Its operations are divided into two business lines. One is made up of the wholly owned industrial and trading operations and the other is a portfolio with listed holdings. Its industrial and trading operations are organized into four business areas: Hultafors Group, Latour Industries, Specma Group and Swegon. The firm's investment portfolio comprises Assa Abloy, Fagerhult, HMS Networks, Loomis, Nederman, Nobia, Securitas, Sweco and Tomra. The Company’s operations are run by its two wholly owned subsidiaries, Nordiska Industri AB and Latour-Gruppen AB, trading with shares and securities is handled by the Karpalunds Angbryggeri AB, while administration of securities is managed by the wholly owned subsidiary, Saki Forvaltning AB.
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Employees
Officers
The intrinsic value of one LATO B stock under the Base Case scenario is 196.08 SEK.
Compared to the current market price of 273.9 SEK, Investment AB Latour is Overvalued by 28%.