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CTT Systems

CTT Systems

CTT Systems develops climate control products for aircraft, including dehumidification systems to prevent condensation and humidifiers for crew and passenger wellbeing. CTT’s products are offered on the Boeing 787 and 777X as well as the Airbus A380 and A350. The company holds a majority market share within both dehumidification and humidification products and is a tier-1 supplier to the Boeing 787 and 777X.

Sustainability information

The high profitability in CTT’s systems could attract new competitors, or result in the OEM suppliers providing their own solutions. While CTT’s relationships with Airbus and Boeing are highly valuable, they have little influence over pricing and therefore are sensitive to contract renegotiations. Almost all revenues are dollar-based, implying a strong currency sensitivity. The main risks entail a lack of market penetration due to low willingness among airliners to have dehumidifiers and humidifiers installed.

SEKm 2025 2026e 2027e
Sales 264 289 460
Sales growth (%) -11,9 9,3 59,3
EBITDA 54 77 140
EBITDA margin (%) 20,4 26,7 30,5
EBIT adj. 49 72 131
EBIT adj. margin (%) 18,7 24,9 28,5
Pretax profit 49 65 133
EPS 3,07 4,14 8,46
EPS growth (%) -54,8 34,7 N/A
EPS adj. 3,2 4,27 8,46
DPS 2,4 3,75 7
EV/EBITDA (x) 28,3 19,7 10,6
EV/EBIT adj. (x) 30,9 21,1 11,4
P/E (x) 39,4 29,3 14,3
P/E adj. (x) 37,9 28,4 14,3
EV/sales (x) 5,78 5,25 3,25
FCF yield (%) 2 2,6 4,7
Le. adj. FCF yld. (%) 2 2,6 4,7
Dividend yield (%) 2 3,1 5,8
Net IB debt/EBITDA (x) 0,2 0 -0,2
Le. adj. ND/EBITDA (x) 0,2 0 -0,2
SEKm 2025 2026e 2027e
Sales 264 289 460
COGS 0 0 0
Gross profit 264 289 460
Other operating items -210 -212 -320
EBITDA 54 77 140
Depreciation and amortisation -7 -7 -9
of which leasing depreciation 0 0 0
EBITA 47 70 131
EO Items -2 -2 0
Impairment and PPA amortisation 0 0 0
EBIT 47 70 131
Net financial items 1 -5 2
Pretax profit 49 65 133
Tax -10 -13 -27
Net profit 39 52 106
Minority interest 0 0 0
Net profit discontinued 0 0 0
Net profit to shareholders 39 52 106
EPS 3,07 4,14 8,46
EPS adj. 3,2 4,27 8,46
Total extraordinary items after tax -2 -2 0
Leasing payments 0 0 0
Tax rate (%) 21,3 20,5 20,6
Gross margin (%) 100 100 100
EBITDA margin (%) 20,4 26,7 30,5
EBITA margin (%) 17,9 24,2 28,5
EBIT margin (%) 17,9 24,2 28,5
Pre-tax margin (%) 18,5 22,6 29
Net margin (%) 14,6 17,9 23
Sales growth (%) -11,9 9,3 59,3
EBITDA growth (%) -55,1 43,2 81,8
EBITA growth (%) -57,8 47,3 88,1
EBIT growth (%) -57,8 47,3 88,1
Net profit growth (%) -54,8 34,7 104,3
EPS growth (%) -54,8 34,7 N/A
Profitability N/A N/A N/A
Year N/A N/A N/A
ROE (%) 13,9 19 33,8
ROE adj. (%) 14,5 19,6 33,8
ROCE (%) 15,9 22,7 39,7
ROCE adj. (%) 15,6 23,3 38,5
ROIC (%) 13,9 20 34,6
ROIC adj. (%) 14,5 20,6 34,6
Adj. earnings numbers N/A N/A N/A
EBITDA adj. 56 79 140
EBITDA adj. margin (%) 21,2 27,4 30,5
EBITDA lease adj. 56 79 140
EBITDA lease adj. margin (%) 21,2 27,4 30,5
EBITA adj. 49 72 131
EBITA adj. margin (%) 18,7 24,9 28,5
EBIT adj. 49 72 131
EBIT adj. margin (%) 18,7 24,9 28,5
Pretax profit Adj. 51 67 133
Net profit Adj. 40 53 106
Net profit to shareholders adj. 40 53 106
Net adj. margin (%) 15,2 18,5 23
SEKm 2025 2026e 2027e
EBITDA 54 77 140
Goodwill 0 0 0
Net financial items 1 -5 2
Other intangible assets 85 88 93
Paid tax -16 -13 -27
Tangible fixed assets 36 39 42
Non-cash items -2 0 0
Right-of-use asset 0 0 0
Cash flow before change in WC 37 59 115
Total other fixed assets 2 2 2
Change in working capital -1 -7 -28
Fixed assets 123 130 137
Operating cash flow 36 53 87
Inventories 124 127 166
Capex tangible fixed assets -2 -8 -7
Receivables 73 87 115
Capex intangible fixed assets -3 -6 -9
Other current assets 0 0 0
Acquisitions and Disposals 0 0 0
Cash and liquid assets 27 36 44
Free cash flow 30 39 71
Total assets 347 379 462
Dividend paid -67 -30 -47
Shareholders equity 262 284 343
Share issues and buybacks 0 0 0
Minority 0 0 0
Leasing liability amortisation 0 0 0
Total equity 262 284 343
Other non-cash items 2 0 0
Long-term debt 0 15 15
Pension debt 0 0 0
Convertible debt 0 0 0
Leasing liability 0 0 0
Total other long-term liabilities 2 2 2
Short-term debt 36 20 5
Accounts payable 47 58 97
Other current liabilities 0 0 0
Total liabilities and equity 347 379 462
Net IB debt 9 0 -24
Net IB debt excl. pension debt 9 0 -24
Net IB debt excl. leasing 9 0 -24
Capital employed 298 319 363
Capital invested 271 284 319
Working capital 149 156 184
Market cap. diluted (m) 1519 1519 1519
Net IB debt adj. 9 0 -24
Market value of minority 0 0 0
Reversal of shares and participations 0 0 0
EV 1527 1518 1495
Reversal of conv. debt assumed equity N/A N/A N/A
Total assets turnover (%) 71,9 79,6 109,5
Working capital/sales (%) 55,9 52,9 36,9
Financial risk and debt service N/A N/A N/A
Net debt/equity (%) 3,4 0 -7
Net debt / market cap (%) 0,6 0 -1,6
Year N/A N/A N/A
Equity ratio (%) 75,5 74,9 74,2
Net IB debt adj. / equity (%) 3,4 0 -7
Current ratio 2,7 3,21 3,2
EBITDA/net interest 37 16,5 70,2
Net IB debt/EBITDA (x) 0,2 0 -0,2
Net IB debt/EBITDA lease adj. (x) 0,2 0 -0,2
Interest coverage 32,5 14,9 65,7
SEKm 2025 2026e 2027e
Shares outstanding adj. 13 13 13
Diluted shares adj. 13 13 13
EPS 3,07 4,14 8,46
Dividend per share 2,4 3,75 7
EPS adj. 3,2 4,27 8,46
BVPS 20,91 22,65 27,36
BVPS adj. 14,11 15,6 19,93
Net IB debt/share 0,71 -0,01 -1,9
Share price 121,2 121,2 121,2
Market cap. (m) 1519 1519 1519
P/E (x) 39,4 29,3 14,3
EV/sales (x) 5,8 5,3 3,2
EV/EBITDA (x) 28,3 19,7 10,6
EV/EBITA (x) 32,2 21,7 11,4
EV/EBIT (x) 32,2 21,7 11,4
Dividend yield (%) 2 3,1 5,8
FCF yield (%) 2 2,6 4,7
Le. adj. FCF yld. (%) 2 2,6 4,7
P/BVPS (x) 5,8 5,35 4,43
P/BVPS adj. (x) 8,59 7,77 6,08
P/E adj. (x) 37,9 28,4 14,3
EV/EBITDA adj. (x) 27,3 19,2 10,6
EV/EBITA adj. (x) 30,9 21,1 11,4
EV/EBIT adj. (x) 30,9 21,1 11,4
EV/CE (x) 5,1 4,8 4,1
Investment ratios N/A N/A N/A
Year N/A N/A N/A
Capex/sales (%) 2 4,7 3,5
Capex/depreciation 0,8 1,8 1,8
Capex tangibles / tangible fixed assets 5,5 8,7 13,3
Capex intangibles / definite intangibles 4 5,6 10,1
Depreciation on intang / def. intang 3 3 5
Depreciation on tangibles / tangibles 11,57 12,82 12,85

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Media

CTT Systems - Fireside chat with CEO Henrik Höjer
CTT Systems - Company presentation with CEO Henrik Höjer

Main shareholders - CTT Systems

Main shareholders Share capital % Voting shares % Verified
Tomas Torlöf 14.6 % 14.6 % 26 Jun 2026
SEB Funds 9.3 % 9.3 % 30 Jun 2026
ODIN 8.0 % 8.0 % 30 Jun 2026
Handelsbanken Fonder 5.0 % 5.0 % 29 Apr 2026
Nya Jorame Holding AB 4.6 % 4.6 % 26 Jun 2026
If Skadeförsäkring AB 4.1 % 4.1 % 26 Jun 2026
Nordnet Pensionsförsäkring 2.9 % 2.9 % 26 Jun 2026
Andra AP-fonden 2.8 % 2.8 % 26 Jun 2026
Danske Invest 2.4 % 2.4 % 31 May 2026
BNP Paribas Asset Management 2.3 % 2.3 % 24 Apr 2026
Source: Holdings by Modular Finance AB