Hagar hf
113,00 krVariación respecto al cierre anterior: −1,74 %Variación absoluta: −2,00 kr
En resumen
- Crecimiento de los ingresos
- +9,26 %
- Ej. a feb 2026 frente a Ej. a feb 2025
- Crecimiento del beneficio neto
- +5,12 %
- Ej. a feb 2026 frente a Ej. a feb 2025
- Margen neto
- 3,8 %
- Ej. a feb 2025: 3,9 %
Datos financieros
Importes en millones de ISK; valores por acción en ISK; acciones en millones.
| Partida | Trim. a may 2026 | Trim. a feb 2026 | Trim. a nov 2025 | Trim. a ago 2025 | Trim. a may 2025 | Trim. a feb 2025 | Trim. a nov 2024 | Trim. a ago 2024 | Trim. a may 2024 | Trim. a feb 2024 | Trim. a nov 2023 | Trim. a ago 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Activo total | 118.543 | 115.246 | 118.786 | 108.219 | 108.219 | 105.532 | 83.890 | 80.965 | 81.541 | 78.171 | 76.515 | 75.487 |
| Activo corriente | 28.421 | 24.865 | 29.543 | 27.065 | 26.899 | 23.160 | 27.567 | 24.505 | 24.704 | 21.129 | 22.326 | 22.471 |
| Efectivo y equivalentes | 3.072 | 3.875 | 6.126 | 4.904 | 5.876 | 2.299 | 1.534 | 2.984 | 4.574 | 1.827 | 1.883 | 2.726 |
| Inversiones a corto plazo | — | — | — | — | — | — | 5.191 | — | — | — | — | — |
| Cuentas por cobrar | 8.073 | 6.597 | 8.224 | 9.076 | 7.443 | 6.756 | 7.137 | 8.323 | 7.225 | 6.165 | 7.443 | 7.591 |
| Existencias | 17.235 | 14.393 | 15.193 | 13.085 | 13.580 | 13.974 | 13.562 | 13.085 | 12.798 | 13.068 | 12.929 | 12.020 |
| Inmovilizado material neto | 57.770 | 57.676 | 57.895 | 50.268 | 50.497 | 50.277 | 33.679 | 33.974 | 34.928 | 33.788 | 32.280 | 31.228 |
| Fondo de comercio | — | 13.938 | — | — | — | 13.995 | — | — | — | 11.089 | — | — |
| Otros activos intangibles | 16.137 | 2.229 | 15.523 | 15.335 | 15.238 | 2.102 | 13.074 | 12.963 | 12.383 | 1.746 | 12.783 | 12.693 |
| Inversiones a largo plazo | 7.139 | 7.421 | 6.502 | 6.456 | 6.334 | 6.549 | 5.738 | 5.692 | 5.694 | 5.747 | 5.269 | 5.229 |
| Pasivo corriente | 34.317 | 33.176 | 36.650 | 31.963 | 31.656 | 29.580 | 27.215 | 28.075 | 28.091 | 25.887 | 26.810 | 25.830 |
| Proveedores | 15.726 | 14.944 | 18.738 | 17.172 | 17.366 | 14.977 | 15.452 | 16.487 | 16.014 | 13.095 | 14.219 | 14.530 |
| Deuda a largo plazo | 14.281 | 14.351 | 14.567 | 17.146 | 17.142 | 17.137 | 13.756 | 11.308 | 11.330 | 11.286 | 11.357 | 11.891 |
| Deuda total | — | 48.345 | 49.116 | — | 42.251 | 42.992 | — | — | — | — | — | — |
| Pasivo total | 73.802 | 72.467 | 77.406 | 68.917 | 68.546 | 67.043 | 54.221 | 52.683 | 52.503 | 49.217 | 49.518 | 48.106 |
| Patrimonio neto (incl. minoritarios) | 44.741 | 42.779 | 41.380 | 39.302 | 39.673 | 38.489 | 29.669 | 28.282 | 29.038 | 28.954 | 26.997 | 27.381 |
| Reservas | 43.702 | 41.718 | 40.315 | 38.237 | 38.606 | 37.423 | 28.585 | 27.198 | 27.954 | 27.870 | 25.913 | 26.275 |
| Intereses minoritarios | -50,0 | -28,0 | -28,0 | -30,0 | -31,0 | -32,0 | — | — | — | — | — | — |
