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普通外文研报

Tele2 Recent pullback provides attractive entry point. New CEO likely to provide continuity. Remain OW

发布日期: 2026-05-17研究机构: JPMorgan公司 / 股票: TEL2b.ST报告页数: 21原文语言: 英语证据页码: 1

研报英文原文证据摘录

Tele2 Recent pullback provides attractive entry point. New CEO likely to provide continuity. Remain OW

J P M O R G A N Europe Equity Research

18 May 2026

Tele2 Overweight

TEL2b.ST, TEL2B SS

Recent pullback provides attractive entry point. New Price (15 May 26):Skr184.00

CEO likely to provide continuity. Remain OW ▼Price Target (Dec-27):Skr212.00 Prior (Dec-27):Skr214.00

Tele2's 4% pullback over the last month (sector: +6%) following some profit taking

and a change in CEO creates an attractive entry point into a stock delivering European Telecommunication

Servicesaccelerating dividend growth and upside to existing consensus estimates. 2026e

EBITDAaL growth of +7.1% y/y is ahead of LSD-MSD guidance and consensus Ajay Soni AC

at +5.7%. 2026e dividend growth of ~20% y/y to SEK 12.5/share is 14% above (44-20) 3493-8462

ajay.soni@jpmorgan.com

consensus, underpinned by leverage at 1.7x versus a 2.6-2.7x investment grade J.P. Morgan Securities plc

ceiling. Additionally, we expect strategic continuity under new CEO Nicholas

Akhil Dattani

Högberg. Tele2 is +18% YTD (sector: +25%), despite delivering solid Q1 numbers (44-20) 7134-4725

(here). Upcoming catalysts include potential guidance upgrades through 2026 and akhil.dattani@jpmorgan.com

further dividend upside as lower leverage post the Baltic TowerCo transaction J.P. Morgan Securities plc

allows for >100% EFCF payout. We remain Overweight with a PT of SEK 212 Ankur Baheti, CFA

(previously SEK 214). On 2027e, Tele2 trades on 18x PE and 7% EFCF yield. (91-86) 5796-8820

Within our base case, Tele2 trades on 2027e TSR yield of 8% (upside scenario: 9%) ankur.baheti@jpmchase.com

and 2030e TSR yield of 12% (upside scenario: 14%). J.P. Morgan India Private Limited

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