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Trade Thule Group - THULE CFD

282.5
0%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0256%
Short position overnight fee -0.0188%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency SEK
Margin 20%
Stock exchange Sweden
Commission on trade 0%

*Information provided by Capital.com

Thule Group AB ESG Risk Ratings

High Medium Low Negligible

‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.

Key Stats
Prev. Close* N/A
Open* 275.9
1-Year Change* -37.64%
Day's Range* 274.6 - 274.6
52 wk Range 210.4-556.5
Average Volume (10 days) 0.34128
Average Volume (3 months) 8.77878
Market Cap 22512.3
P/E Ratio 12.3945
Shares Outstanding 104562000
Revenue 10966
EPS 17.3706
Dividend (Yield %) 6.03809
Beta 1.33983
Next Earnings Date Oct 27, 2022

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Jul 28, 2022 282.5 6.6 2.39% 275.9 282.5 274.2
Jun 30, 2022 254.1 0.1 0.04% 254.0 254.5 251.3
Jun 29, 2022 261.6 -4.1 -1.54% 265.7 268.7 261.3
Jun 28, 2022 269.9 -0.7 -0.26% 270.6 273.5 267.6
Jun 27, 2022 270.4 2.2 0.82% 268.2 276.4 266.7
Jun 23, 2022 267.8 0.6 0.22% 267.2 268.5 262.9
Jun 22, 2022 261.9 3.2 1.24% 258.7 262.1 254.7
Jun 21, 2022 266.7 3.2 1.21% 263.5 271.6 261.7
Jun 20, 2022 266.6 2.0 0.76% 264.6 271.3 261.7
Jun 17, 2022 267.4 -5.4 -1.98% 272.8 278.0 266.4
Jun 16, 2022 268.5 -10.2 -3.66% 278.7 283.9 266.6
Jun 15, 2022 292.3 -2.7 -0.92% 295.0 297.6 290.0
Jun 14, 2022 296.4 0.6 0.20% 295.8 297.1 286.6
Jun 13, 2022 291.5 -3.8 -1.29% 295.3 297.1 291.2
Jun 10, 2022 296.7 -13.1 -4.23% 309.8 310.6 295.3
Jun 9, 2022 311.3 -12.4 -3.83% 323.7 323.7 311.2
Jun 8, 2022 325.1 2.0 0.62% 323.1 325.5 320.5
Jun 7, 2022 321.5 1.2 0.37% 320.3 326.2 312.1
Jun 3, 2022 321.4 -2.9 -0.89% 324.3 328.9 321.4
Jun 2, 2022 328.0 13.3 4.23% 314.7 328.5 313.2

Thule Group Events

 (UTC)
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 5304 5872 6484 7038 7828 10386
Revenue 5304 5872 6484 7038 7828 10386
Cost of Revenue, Total 3110 3455 3858 4209 4599 6226
Gross Profit 2194 2417 2626 2829 3229 4160
Total Operating Expense 4382 4805 5321 5843 6237 8046
Selling/General/Admin. Expenses, Total 1251 1349 1459 1630 1634 1829
Depreciation / Amortization 18 4 4 4 4 6
Other Operating Expenses, Total 3 -3 0 0 0 -15
Operating Income 922 1067 1163 1195 1591 2340
Interest Income (Expense), Net Non-Operating -29 -45 -38 -41 -56 -31
Other, Net -6 -7 -11 -8 -8 -6
Net Income Before Taxes 887 1015 1114 1146 1527 2303
Net Income After Taxes 653 690 837 883 1166 1790
Net Income Before Extra. Items 653 690 837 883 1166 1790
Total Extraordinary Items 23 17 0
Net Income 676 707 837 883 1166 1790
Income Available to Common Excl. Extra. Items 653 690 837 883 1166 1790
Income Available to Common Incl. Extra. Items 676 707 837 883 1166 1790
Diluted Net Income 676 707 837 883 1166 1790
Diluted Weighted Average Shares 101.806 102.564 103.119 103.35 103.987 105.573
Diluted EPS Excluding Extraordinary Items 6.41416 6.72751 8.11684 8.54378 11.2129 16.9551
Dividends per Share - Common Stock Primary Issue 10.9 6 7 0 15.5 13
Diluted Normalized EPS 6.41416 6.72751 8.12412 8.7078 11.2276 16.9698
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
Total revenue 2538 3229 2772 1846 3034
Revenue 2538 3229 2772 1846 3034
Cost of Revenue, Total 1489 1866 1647 1225 1819
Gross Profit 1049 1363 1125 621 1215
Total Operating Expense 1944 2343 2102 1656 2342
Selling/General/Admin. Expenses, Total 456 493 455 432 522
Other Operating Expenses, Total -1 -16 0 -1 1
Operating Income 594 886 670 190 692
Interest Income (Expense), Net Non-Operating -6 -6 -12 -11 -11
Other, Net -4 1 1 1
Net Income Before Taxes 584 881 658 180 682
Net Income After Taxes 447 673 516 154 527
Net Income Before Extra. Items 447 673 516 154 527
Net Income 447 673 516 154 527
Income Available to Common Excl. Extra. Items 447 672 516 154 527
Income Available to Common Incl. Extra. Items 447 672 516 154 527
Diluted Net Income 447 672 516 154 527
Diluted Weighted Average Shares 104.6 105.495 105.521 105.647 104.6
Diluted EPS Excluding Extraordinary Items 4.27342 6.37 4.89 1.45769 5.03824
Dividends per Share - Common Stock Primary Issue 0 6.5 0 6.5 0
Diluted Normalized EPS 4.27342 6.37 4.89 1.47388 5.03824
Total Adjustments to Net Income -1
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 2561 2129 2089 2218 2770 3823
Cash and Short Term Investments 763 581 186 268 706 149
Cash 763 581 186 268 245 149
Cash & Equivalents 0 0 0 0 461 0
Total Receivables, Net 806 682 756 796 941 1083
Accounts Receivable - Trade, Net 584 580 655 704 762 872
Total Inventory 825 819 1078 1092 1068 2510
Prepaid Expenses 44 49 69 62 55 81
Other Current Assets, Total 123 -2
Total Assets 7883 7285 7697 8285 8448 10192
Property/Plant/Equipment, Total - Net 579 645 778 1023 1033 1479
Property/Plant/Equipment, Total - Gross 1282 1335 1510 1892 1930 2489
Accumulated Depreciation, Total -703 -691 -734 -871 -896 -1009
Goodwill, Net 4208 4145 4448 4620 4256 4518
Intangibles, Net 32 32 28 44 40 38
Note Receivable - Long Term 8 9 13 5 6 8
Other Long Term Assets, Total 495 325 341 375 343 326
Total Current Liabilities 1302 1201 1148 1143 1603 2203
Accounts Payable 522 519 564 529 660 1057
Accrued Expenses 379 382 406 430 564 716
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 6 8 9 53 52 66
Other Current Liabilities, Total 395 292 169 131 327 364
Total Liabilities 4057 3818 3685 3955 3195 4377
Total Long Term Debt 2445 2270 2142 2333 1044 1552
Long Term Debt 2434 2261 2133 2169 895 1418
Capital Lease Obligations 11 9 9 164 149 134
Deferred Income Tax 157 185 221 259 309 370
Other Liabilities, Total 153 162 174 220 239 252
Total Equity 3826 3467 4012 4330 5253 5815
Common Stock 1 1 1 1 0 1
Additional Paid-In Capital 2123 2242 2368 2365 2649 2648
Retained Earnings (Accumulated Deficit) 1867 1475 1681 1795 2953 3114
Other Equity, Total -165 -251 -38 169 -349 52
Total Liabilities & Shareholders’ Equity 7883 7285 7697 8285 8448 10192
Total Common Shares Outstanding 101.036 102.073 103.209 103.209 104.562 104.562
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 3617 3420 3798 3823 5381
Cash and Short Term Investments 708 326 581 149 361
Cash & Equivalents 708 326 581 149 361
Total Receivables, Net 1610 1758 1556 1083 1906
Accounts Receivable - Trade, Net 1447 1583 1347 872 1616
Total Inventory 1235 1267 1589 2510 3022
Prepaid Expenses 64 69 72 81 93
Total Assets 9603 9439 9965 10192 11970
Property/Plant/Equipment, Total - Net 1108 1233 1321 1479 1616
Intangibles, Net 4499 4432 4486 4556 4613
Note Receivable - Long Term 5 4 3 8 7
Other Long Term Assets, Total 374 350 357 326 353
Total Current Liabilities 1995 2753 2814 2203 2432
Accounts Payable 864 1001 989 1057 1178
Accrued Expenses 655 772 789 716 726
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 69 60 67 80 91
Other Current Liabilities, Total 407 920 969 350 437
Total Liabilities 3632 4476 4411 4377 5512
Total Long Term Debt 1086 1192 1040 1552 2466
Long Term Debt 915 1059 915 1418 2328
Capital Lease Obligations 171 133 125 134 138
Deferred Income Tax 310 296 315 370 374
Other Liabilities, Total 241 235 242 252 240
Total Equity 5971 4963 5554 5815 6458
Other Equity, Total 5971 4963 5554 52 6458
Total Liabilities & Shareholders’ Equity 9603 9439 9965 10192 11970
Total Common Shares Outstanding 104.562 104.562 104.562 104.562 104.562
Common Stock 1
Additional Paid-In Capital 2648
Retained Earnings (Accumulated Deficit) 3114
Other Current Assets, Total -1
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 887 1015 1114 1146 1527 2303
Cash From Operating Activities 878 972 606 1030 1614 1128
Cash From Operating Activities 82 71 85 147
Non-Cash Items 43 42 33 13 229 177
Cash Taxes Paid 176 138 369 298 183 402
Cash Interest Paid 43 46 42 40
Changes in Working Capital -134 -156 -626 -276 -142 -1352
Cash From Investing Activities -222 17 -253 -171 -170 -503
Capital Expenditures -132 -144 -179 -161 -173 -507
Other Investing Cash Flow Items, Total -90 161 -74 -10 3 4
Cash From Financing Activities -169 -1169 -749 -779 -1001 -1186
Total Cash Dividends Paid -253 -1113 -619 -722 0 -1621
Issuance (Retirement) of Stock, Net 84 120 126 -3 284 -1
Issuance (Retirement) of Debt, Net 0 -176 -256 -53 -1285 436
Foreign Exchange Effects 2 -2 2 1 -5 4
Net Change in Cash 489 -182 -394 81 438 -557
Financing Cash Flow Items -1
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 584 1465 2123 2303 682
Cash From Operating Activities 72 939 1473 1128 -526
Non-Cash Items 53 85 131 177 61
Cash Taxes Paid 65 173 278 402 83
Changes in Working Capital -565 -611 -781 -1352 -1269
Cash From Investing Activities -56 -238 -350 -503 -148
Capital Expenditures -56 -238 -350 -504 -148
Cash From Financing Activities -16 -1084 -1250 -1186 881
Issuance (Retirement) of Stock, Net 0 0 0 -1 0
Issuance (Retirement) of Debt, Net -16 118 -48 436 881
Foreign Exchange Effects 1 3 3 4 5
Net Change in Cash 1 -380 -124 -557 212
Total Cash Dividends Paid -1202 -1202 -1621 0
Other Investing Cash Flow Items, Total 1

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  • Thule
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Thule Company profile

About Thule Group AB

Thule Group AB is a Sweden-based company engaged in the development and manufacture of sport, outdoor and cargo products. Its offering is divided in two business segments: Outdoor&Bags and Specialty. The Outdoor&Bags segment comprises three product categories: sport and cargo carriers, bags for electronic devices, and other outdoor and bags; as well as several product groups, namely bike and car carriers, water and winter carriers, camera bags, laptop cases, recreational vehicle products, roof racks, and sports and travel bags, among others. The Specialty segment comprises two product categories: work gear and snow chains; and such product groups as pick-up truck tool boxes, and professional and consumer snow chains. The Company’s brands are Thule, Case Logic, Konig, UWS, TracRac and SportRac. Its products are sold to retailers, distributors and wholesalers and available in more than 130 countries. The Company is a subsidiary of Thule Group.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Thule Group AB revenues increased 33% to SEK10.39B. Net income increased 54% to SEK1.79B. Revenues reflect an increase in demand for the Company's products and services due to favorable market conditions. Net income benefited from Net interest expense - Balancing increase from SEK3M (expense) to SEK1M (income). Dividend per share decreased from SEK15.50 to SEK13.00.

Industry: Automotive Accessories

Fosievägen 13
MALMO
SKANE 214 31
SE

Income statement

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