Skanska B, SE0000113250

Skanska AB Stock (SE0000113250): Danske Bank Cuts Price Target to SEK 275

30.04.2026 - 14:57:12 | ad-hoc-news.de

Danske Bank lowered its price target for Skanska AB to SEK 275 from SEK 295 on April 30, 2026, while reiterating a Hold rating. The adjustment comes ahead of the company's Q1 2026 interim report release on May 7.

Skanska B, SE0000113250
Skanska B, SE0000113250

Danske Bank has lowered its price target for Skanska AB to SEK 275 from SEK 295, while maintaining its Hold rating, according to a report dated April 30, 2026 at 04:18 am EDT.

As of: April 30, 2026

By the AD HOC NEWS Editorial Team – Equity Coverage.

At a Glance

  • Name: Skanska B
  • ISIN: SE0000113250
  • Sector/Industry: Industrials / Engineering & Construction
  • Headquarters/Country: Stockholm, Sweden
  • Primary Exchange: Nasdaq Stockholm
  • Trading Currency: SEK

How Skanska AB Makes Money: The Core Business Model

Skanska AB operates as one of the world's leading construction and project development companies, focusing on developing properties and structures primarily in the Nordic region, North America, and other international markets, according to its official investor relations information.

The company engages in construction projects across various segments including commercial, residential, infrastructure, and industrial developments. Its business model centers on end-to-end project delivery from design to completion, generating revenue through contracts with public and private clients.

Skanska AB emphasizes sustainable construction practices integrated into its core operations, aiming to deliver projects that meet environmental standards while maintaining profitability through efficient project management.

Official Source

Latest information on Skanska AB directly from the company's official website.

Visit Official Website

Skanska AB's Key Revenue and Product Drivers

Skanska AB derives revenue from large-scale construction contracts, such as the recently announced SEK 560 million industrial facility contract in Södertälje, Sweden, as detailed in a company announcement.

The company's project portfolio includes infrastructure developments, commercial buildings, and residential properties, with a geographic focus on high-demand markets in Europe and North America.

Upcoming financial reporting, including the Q1 2026 interim report scheduled for release on May 7 at 07:30 am CEST, will provide further insights into recent revenue drivers.

Industry Trends and Competitive Landscape

The engineering and construction sector faces ongoing trends toward sustainable building practices and digitalization in project management, influencing companies like Skanska AB.

Market demand for infrastructure remains strong in Nordic countries and North America, driven by public investments and urbanization.

Skanska AB competes in a landscape with other major players focused on similar large-scale projects, maintaining a presence through its international operations.

Why Skanska AB Matters to US Investors

Skanska AB maintains significant operations in North America, providing exposure to US construction markets for investors interested in international industrials.

The company's projects in the United States contribute to its diversified revenue base, alongside its primary Nordic focus, with shares traded on Nasdaq Stockholm in SEK, introducing currency risk for USD-based portfolios.

US investors can access Skanska AB through various international trading platforms, monitoring developments like analyst updates and upcoming earnings.

Which Investor Profile Fits Skanska AB – and Which Does Not?

Skanska AB suits investors seeking exposure to the cyclical construction sector with a focus on long-term infrastructure trends and sustainable development.

Those preferring stable dividend payers in defensive industries may find the project's lumpiness less appealing compared to consistent earners.

Geographic diversification appeals to portfolios balancing European and North American market cycles.

What Analysts Are Saying About Skanska AB Stock

Danske Bank adjusted its price target downward to SEK 275 from SEK 295 on April 30, 2026, reiterating a Hold rating on Skanska AB.

Analyst Ratings & Research

Risks and Open Questions for Skanska AB

Construction projects carry risks related to cost overruns, supply chain disruptions, and regulatory changes in key markets.

Currency fluctuations between SEK and other currencies impact reported earnings for international operations.

Upcoming Q1 results on May 7 may address project margins amid competitive bidding pressures.

Key Events and Outlook for Investors

Skanska AB will release its Q1 2026 interim report on May 7 at 07:30 am CEST, followed by a presentation at 10:00 am CEST.

What to Watch Next

  • May 7, 2026: Q1 2026 interim report release and conference

Further Reading

Stay up to date on the latest developments, news, and analysis for this stock.

More Stock NewsInvestor Relations

Conclusion

Danske Bank's price target reduction to SEK 275 on April 30, 2026, highlights analyst scrutiny ahead of Skanska AB's Q1 2026 results on May 7. The company continues securing contracts like the SEK 560 million Södertälje project. Investors monitor the upcoming report for project updates and financial performance.

Disclaimer: This article does not constitute investment advice. Stocks are volatile financial instruments.

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