Fourth quarter (1 October–31 December 2025)
- Net sales for the quarter amounted to MSEK 53 (153).
- Operating profit/loss before depreciation and amortisation (EBITDA) was MSEK -41 (47).
- Operating profit/loss (EBIT) was MSEK -64 (24).
- Profit/loss after tax amounted to MSEK -72 (33).
- Earnings were impacted by non-recurring costs corresponding to approximately MSEK -36 during the quarter related to the public takeover bid.
- Operating cash flow was MSEK 28 (94) and cash flow after investments amounted to MSEK -24 (40).
- Production generated 89 GWh (97) with an average income of SEK 488 per MWh (525).
- The project portfolio increased by approximately 750 MW during the quarter.

Full-year (1 January–31 December 2025)
- Net sales for the period amounted to MSEK 389 (470).
- Operating profit before depreciation and amortisation (EBITDA) was MSEK 66 (226).
- Operating profit/loss (EBIT) was MSEK -24 (144).
- Profit/loss after tax amounted to MSEK -72 (172).
- Earnings were impacted by non-recurring costs corresponding to a total of approximately MSEK -78 during the year related to the company’s refinancing, the accelerated takeover of Kölvallen and the public takeover bid.
- Operating cash flow was MSEK 456 (279) and cash flow after investments amounted to MSEK 204 (51).
- Production generated 322 GWh (321) with an average income of SEK 463 per MWh (581).
- The project portfolio increased by approximately 1,375 MW during the year.
Halmstad, 13 February 2026
Arise AB (publ)
For further information, please contact:
Per-Erik Eriksson, CEO Arise AB, +46 702 409 902
Markus Larsson, CFO Arise AB, +46 735 321 776
About Arise
Arise is a leading company that realises new green energy. The company develops, builds, sells and manages renewable electricity production.
Arise AB (publ), Linjegatan 7, 302 50 Halmstad, tel. +46 10 450 71 00, org.nr. 556274-6726, E-mail: [email protected], www.arise.se