Jefast Borrower II AB (publ) publishes its quarterly report for the period January-March 2026

Period Jan-Mar 2026

* Revenue amounted to 8.5 MSEK

* Operating profit amounted to 2.5 MSEK

* Net loan to value amounted to 63.13% for the Borrower II Group and 52.88% for the

Jefast AB Group

* Property value amounted to 540 MSEK for the Borrower II Group and 2 266 MSEK

for the Jefast AB Group

 

Events in the reporting period

* No major events took place in the reporting period

 

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: cassandra@jefast.se

 

 

 

The information was submitted for publication, through the agency of the contact person set out above, on May 27, 2026 at 7:30 pm.

Mer information

2026Q1_Jefast