Klarna Group PLC

Klarna Group PLC(KLAR)股票分析

$14.690

+0.507 (+3.45%)收盤時

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High
14.750
Open
14.320
VWAP
14.46
Vol
8.25M
Mkt Cap
Low
13.940
Amount
119.31M
EV/EBITDA, TTM
17.60

Klarna Group Plc is a United Kingdom-based technology company focused on developing commerce networks. The Company is an artificial intelligence (AI)-powered global payments network and shopping assistant. It provides consumers and merchants with a range of solutions, including payment, advertising and digital retail banking, through several channels. Its online payments solution is designed to bridge uncertainty in the transactions between consumers and merchants by providing short-term credit to consumers interest-free. Its range of payment options allows consumers to purchase what they choose, both online and offline. Its payment solutions include Pay in Full, Pay Later and Fair Financing. Its Pay in Full instantly settles purchases at the time of the transaction. Its Pay Later enables consumers to purchase goods or services at the time of the transaction and pay the full amount at a later date. Its Fair Financing allows consumers to pay for their purchase over a longer duration.

AI analysis of Klarna Group PLC (KLAR)

hold

Klarna Group PLC is currently not a strong buy. The stock is priced at $14.20, which is significantly below the analyst price target of $16, indicating potential upside. However, the RSI is at 26.33, suggesting that the stock is oversold, yet the recent downgrade by UBS and the negative sentiment surrounding its gross merchandise value outlook raise concerns. The main risk is the company's forward P/E ratio of 178.57, indicating high valuation expectations that may not be met in the near term.

估值指標

The current forward P/E ratio for Klarna Group PLC (KLAR) is 175.44, compared to its 5-year average forward P/E of 68.35.

Forward P/E

Overvalued
5Y Average P/E
68.35
Current P/E
175.44
高估
125.06
低估
11.64

Forward EV/EBITDA

Fair
5Y Average EV/EBITDA
38.32
Current EV/EBITDA
17.60
高估
79.48
低估
-2.84

Forward P/S

Fair
5Y Average P/S
2.25
Current P/S
1.20
高估
3.41
低估
1.09

Whales holding KLAR

L

Lingotto Investment Management LLP

+ HoldingKLAR

+9.92%

3M Return

D

Divisadero Street Capital Management, LP

+ HoldingKLAR

+8.34%

3M Return

W

Wellcome Trust, Investment Division

+ HoldingKLAR

+7.10%

3M Return

C

Capital Impact Advisors, LLC

+ HoldingKLAR

+0.63%

3M Return

S

StepStone Group Inc.

+ HoldingKLAR

-3.76%

3M Return

事件時間軸

2026-08-25 (ET)

16:30:00

Major Averages Rise as Chip Stocks Benefit from Nvidia Earnings

12:30:00

Major Averages Slightly Higher, Chip Stocks Benefit from Nvidia Earnings

2026-08-19 (ET)

12:00:00

Major Averages Rise as Bond Yields Slip

資訊

KLAR FAQ — answered by Alphio AI

Klarna Group Plc is a United Kingdom-based technology company focused on developing commerce networks. The Company is an artificial intelligence (AI)-powered global payments network and shopping assistant. It provides consumers and merchants with a range of solutions, including payment, advertising and digital retail banking, through several channels. Its online payments solution is designed to bridge uncertainty in the transactions between consumers and merchants by providing short-term credit to consumers interest-free. Its range of payment options allows consumers to purchase what they choose, both online and offline. Its payment solutions include Pay in Full, Pay Later and Fair Financing. Its Pay in Full instantly settles purchases at the time of the transaction. Its Pay Later enables consumers to purchase goods or services at the time of the transaction and pay the full amount at a later date. Its Fair Financing allows consumers to pay for their purchase over a longer duration. It operates in the Technology sector.

Klarna Group PLC is currently not a strong buy. The stock is priced at $14.20, which is significantly below the analyst price target of $16, indicating potential upside. However, the RSI is at 26.33, suggesting that the stock is oversold, yet the recent downgrade by UBS and the negative sentiment surrounding its gross merchandise value outlook raise concerns. The main risk is the company's forward P/E ratio of 178.57, indicating high valuation expectations that may not be met in the near term.

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