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Based on recent data, Klarna Group plc (KLAR) shows an Average True Range (ATR) of 1.76 and an Enterprise Value of N/A. Its average trading volume over the past 3 months is 2.72M, indicating liquidity. These fundamental metrics provide insight into KLAR's underlying financial health and market activity.
Klarna Group plc (KLAR) technical indicators as of December 22, 2025: the SMA 20 is 0.22%, SMA 50 at -9.62%, and SMA 200 at -15.75%. The RSI 14 value is 45.08, suggesting its current momentum. These technical analysis signals help assess KLAR's price trends and potential future movements.
Klarna Group plc (KLAR) stock performance overview as of December 22, 2025: The 52-week high is $47.48 (currently -46.19% below), and the 52-week low is $27.9 (currently 10.32% above). Over the past year, KLAR's performance is N/A, compared to the S&P 500's 12.87% change.
According to market data, Klarna Group plc (KLAR) stock's recent performance metrics show that over the last month, KLAR is -2.69%, with a Year-to-Date (YTD) performance of N/A. Over the past year, the stock has seen a N/A change. These figures summarize KLAR's price movements across various periods, reflecting its historical returns.
According to current financial data, KLAR stock's P/E (TTM) ratio is -44.85, which compares to the S&P 500's P/E of 32.59. The sector median P/E is -0.44. Key valuation ratios for KLAR, including P/S (3.87), P/B (4.67), and P/FCF (7.12), offer insights into how the company is valued relative to its earnings, sales, book value, and free cash flow.