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Try Stocky free →Avoid. ALFVF scores 38/100 overall, weighed down by mediocre growth (48/100 Growth Compounder) and weak value metrics (43/100 Value Compounder). Leadership alignment is moderate (64/100), insufficient to offset operational softness. The company's vulnerable competitive position and lack of moat strength leave limited margin of safety.
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Stocky rates ALFA LAVAL AB (ALFVF) at 38/100 — an Avoid — fundamentals or risks are too weak. The score fuses business quality, moat width, leadership alignment, valuation and analyst signal into a single number. Avoid. ALFVF scores 38/100 overall, weighed down by mediocre growth (48/100 Growth Compounder) and weak value metrics (43/100 Value Compounder). Leadership alignment is moderate (64/100), insufficient to offset operational softness. The com
ALFVF's current Stocky Verdict is 38/100, placing it in the "Avoid" band. This composite combines a 48/100 Compounder score, 64/100 Leadership, Moat rating, and analyst signal.
Stocky hasn't finalised a Moat Score for ALFA LAVAL AB yet — the analysis draws from ROIC trends, pricing power evidence, and competitive-position filings.
ALFA LAVAL AB scores 64/100 on Leadership Alignment. Higher = more founder involvement, higher insider ownership, sensible pay, and evidence of long-term capital allocation discipline.
ALFA LAVAL AB's Vulnerability Profile scores 0/100 (higher = more resilient). The profile flags customer concentration, supply chain, refinancing walls and regulatory risks specific to ALFA LAVAL AB.
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