Strategy and financial targets

During the strategy period 2024-2027, Kreate will focus especially on improving profitability. Sustainable profitability is sought, among other things:

  • With even more selective offering – we focus on challenging infrastructure and leave the bulk to others
  • Continuing to operate with a light balance sheet and excellent net working capital and cash flow management
  • By keeping ourselves agile, our cost structure flexible and our risk management processes in order

Kreate’s financial targets

  • Revenue: annual growth of 5-10 % in 2025-2027;
  • EBITA margin of above 5 % and
  • Net debt to EBITDA below 2.5x.
  • Distribute at least half of Kreate’s annual net profit as dividends, taking into account Kreate’s financial position, cash flows and growth opportunities