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⚠️ Not investment advice. Past performance does not guarantee future results.
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Huhtamäki HUH1V.HE

Finland Consumer Cyclical
6.4/10
AI Analyst score
29.94 EUR
Last price at analysis date · analyst target 35.11 (+17.3%)
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🟡 HOLD — Hold; the combination of reasonable valuation and strong growth suggests the current price is acceptable, although geopolitical risk in Finland and emerging market exposure warrant caution.

Huhtamäki Oyj is a Finnish company that manufactures and sells sustainable food and beverage packaging, with global operations and a business model focused on consumer packaging solutions. Huhtamäki shows stable financial health (debt/EBITDA 2.45x) and attractive valuation (P/E 15.12, FCF yield 6.40%), with exceptional earnings growth of 113.4% driving its growth score.

Financial health
5.3
Quality / Moat
4.2
Valuation
7.4
Growth
7.1
Dividend
7.5
Momentum
5.9
Risk & Context
8.3

Detailed metrics

Market and fundamental data as of the analysis date.

💵 Valuation
P/E15.12
Fwd P/E11.16
EV/EBITDA8.96
P/B1.68
P/S0.80
PEG1.63
Market cap3.14 B EUR
Enterprise value4.47 B EUR
🏰 Quality and moat
ROIC (approx.)8.2%
Gross margin18.98%
FCF conversion40%
Operating margin7.35%
📈 Profitability and margins
ROE11.36%
ROA4.26%
Net margin5.32%
FCF201.3 M EUR
FCF yield6.40%
🏦 Solvency and liquidity
Total debt1.60 B EUR
Net debt1.22 B EUR
Cash381.3 M EUR
EBITDA498.8 M EUR
Net debt / EBITDA2.45
D/E81.70
Current ratio1.43
Quick ratio0.88
🚀 Growth
Revenue growth0.10%
Earnings growth113.40%
EPS (TTM)1.98 EUR
EPS (Fwd)2.68 EUR
💰 Dividend and risk
Dividend yield3.81%
Payout56.6%
Beta0.44
Analyst consensusnone (9)
Target price35.11 EUR
52-week range25.76 EUR – 32.72 EUR
⚠️ Main risk: The main risk is Finland's geopolitical exposure, bordering Russia, which could impact the supply chain and operations in the region, despite the company's operational strength.
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Full AI report

Generated automatically from the metrics, the macro context and the company's news.

Huhtamäki Oyj is a Finnish company that manufactures and sells sustainable food and beverage packaging, with global operations and a business model focused on consumer packaging solutions. Huhtamäki shows stable financial health (debt/EBITDA 2.45x) and attractive valuation (P/E 15.12, FCF yield 6.40%), with exceptional earnings growth of 113.4% driving its growth score.

Score by category

CategoryScore
Financial health5.3
Quality / Moat4.2
Valuation7.4
Growth7.1
Dividend7.5
Momentum5.9
Risk & Context8.3

OVERALL SCORE: 6.4/10

Context and risks

Moderate geopolitical risk due to its domicile in Finland, a country with solid institutions but bordering Russia. Exposure to emerging markets and currency volatility in its global operations adds a contextual risk not captured by financial metrics.

News considered in the analysis

  • Huhtamaki Oyj (HOYFF) Q2 2026 Earnings Call Highlights: Resilient Growth Amidst Global Challenges — Resultados del Q2 2026 con crecimiento resiliente, refuerza la confianza en la ejecución operativa.
  • Huhtamaki Oyj (HMKIY) Q1 2026 Earnings Call Highlights: Resilient Performance Amid Market Challenges — Resultados del Q1 2026 con desempeño resiliente, consistente con la narrativa de estabilidad.
  • Assessing Huhtamäki (HLSE:HUH1V) Valuation After A Recent Share Price Rebound — Análisis de valoración genérico sin información nueva relevante.
  • A Look At Huhtamäki Oyj (HLSE:HUH1V) Valuation After Recent Share Price Weakness — Análisis de valoración genérico sin información nueva relevante.
  • Huhtamaki Oyj (HOYFF) Q4 2025 Earnings Call Highlights: Record Margins and Dividend Growth ... — Márgenes récord y crecimiento del dividendo en Q4 2025, señal positiva de calidad y rentabilidad para el accionista.

Verdict: Hold; the combination of reasonable valuation and strong growth suggests the current price is acceptable, although geopolitical risk in Finland and emerging market exposure warrant caution.

Main risk: The main risk is Finland's geopolitical exposure, bordering Russia, which could impact the supply chain and operations in the region, despite the company's operational strength.

Other Consumer Cyclical companies

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Automatically generated analysis from fundamental, market and news data. Not personalised financial advice — a research tool, not an individual recommendation. Past performance does not guarantee future results. Last update of this analysis: 2026-09-28. Legal notice, privacy & cookies.