Runs via a private server-side proxy (/api/chat). Drag the bar below to resize the chat.
Universe map — returns vs reinvestment · Y = latest-FY ROIC [I] (EBITA×(1−t) / avg invested capital, per-company IC definitions incl. leases/earnouts — quarterly-LTM backfill is an open item) · X = 5-yr avg reinvestment rate [I] (|CF investing| / OCF pre-ΔWC)
X –
%
Y –
%
reset
Caveats: OEM = net-cash IC (inflates ROIC) + OCF post-ΔWC denominator + organic model (low reinvest by design) · Momentum = 4-yr avg (listed 2022) · AddLife 5-yr reinvest skewed by the 2021 Vision Ophthalmology year (265% that year); ex-2021 avg ≈54% · B&B on adjusted EBITA · Lagercrantz CORRECTED: IC includes earnouts+call options MSEK 823 (FY24/25 AR fair-value note [F]; Mar-26 balance assumed flat [O] until the new AR) · Engcon excluded: no CFI series extracted and returns only pre-tax (40–60% — off this scale anyway). Fiscal-year companies as of Mar-2026, calendar as of Dec-2025.
Select a company. Built companies load their full dashboard; others are pending research build-out.