Jefast Borrower II AB (publ) publishes its interrim report for the period January-September 2025
Please see a summary of the highlights from the quarterly report below as well as the full report attached to this pressrelease, which is also available on the website: www.jefast.se
| Period July- Sept 2025 | |
| * Revenue amounted to 8.3 MSEK | |
| * Operating profit amounted to 3.3 MSEK | |
| Period Jan Sept 2025 | |
| * Revenue amounted to 24.7 MSEK | |
| * Operating profit amounted to 10.0 MSEK | |
| * Net loan to value amounted to 67.38% for the Borrower II Group and 57.38% for the | |
| Jefast AB Group | |
| * Property value amounted to 505 MSEK for the Borrower II Group and 2 081 MSEK | |
| for the Jefast AB Group | |
| Events in the reporting period | |
| * The Borrower II Group´s bonds were noted on Nasdaq | |
| Events after the reporting period | |
| *No major events took place after the reporting period | |
For Further information, please contact:
Cassandra Jertshagen, CEO
Tel. +46 42 36 12 01
E-mail: [email protected]
The information was submitted for publication, through the agency of the contact person set out above, on November 28, 2025 at 6:00 pm.
