Investors

Key figures - 2025

7,901m. ISK
EBITDA
3.71%%
Weighted indexed interest rates
104,210m. ISK
Interest-bearing debt
4,919m. ISK
Cash flow from operations
30,0%
Equity ratio
58,6%
Net loan-to-value ratio
173,075m. ISK
Value of real estate, building permits and land

Financial Calendar

Management, Results and budget2/5/2026
2025 Results3/12/2026

Investor relations

Lýður Heiðar Gunnarsson

Lýður Heiðar Gunnarsson

CFO

Compliance

Árni Huldar Sveinbjörnsson

Árni Huldar Sveinbjörnsson

Head of legal

Chairman of the Board

Bjarni Kristján Þorvarðarson

Bjarni Kristján Þorvarðarson

Chairman of the Board