Investor B

Investor AB, founded by the Wallenberg family in 1916, is a prominent investment company that creates value by building strong and sustainable businesses. Through substantial ownership and board participation, Investor AB drives initiatives to support its portfolio companies in achieving best-in-class status. The company is organized into three main business areas: Listed Companies, Patricia Industries, and Investments in EQT. Investor AB's ultimate goal is to generate an attractive total return by owning high-quality companies and supporting them in achieving profitable growth.

20.9k

3.51

2.74

— Investor B
%
Listed Companies60% Includes investments in publicly traded companies.
Patricia Industries25% Holds wholly-owned subsidiaries and partner-owned investments.
Investments in EQT15% Comprises investments in EQT funds.

Investor AB primarily serves institutional investors and high-net-worth individuals seeking exposure to a diversified...

  • Institutional Investorsprimary

    Seek diversified exposure to high-quality companies for long-term returns.

  • High-Net-Worth Individualssecondary

    Invest in sustainable and profitable growth opportunities.

  • ESG-Focused Investorsemerging

    Value sustainability integrated into business models.

Investor AB has a significant presence in Europe and North America, with investments spanning various industries and...

  • Significant presence in Europe and North America
  • Investments focused in Sweden and the United States
  • Geographic diversification mitigates regional risks
  • Operations influenced by economic conditions in key regions

Investor AB's strategic priorities include growing net asset value, paying a steadily rising dividend, and delivering...

01
Grow net asset valuelong-term

To support profitable growth and strategic investments.

02
Pay a steadily rising dividendmedium-term

To provide consistent returns to shareholders.

03
Deliver on ESG targetslong-term

To integrate sustainability into the business model.

Investor AB faces several key risks, including macroeconomic uncertainties, geopolitical tensions, and market...

high

Macroeconomic uncertainties

Global economic conditions remain uncertain.

Materiality
high
high

Market volatility

Fluctuations can impact asset valuation and returns.

Materiality
high
medium

Geopolitical tensions

Tensions can disrupt regional stability and trade.

Materiality
medium
Valuation of financial instruments
Goodwill recognition
Fair value measurements

: 11/08/2026