UPM-Kymmene Oyj

UPMMY · OTC
Analyze with AI
9/30/2025
6/30/2025
3/31/2025
12/31/2024
Valuation
PEG Ratio-2.65-0.87-0.100.25
FCF Yield1.06%0.37%1.53%3.03%
EV / EBITDA87.5367.6146.1630.54
Quality
ROIC0.55%0.57%1.03%-0.46%
Gross Margin4.40%9.46%12.28%19.34%
Cash Conversion Ratio14.072.522.02-6.00
Growth
Revenue 3-Year CAGR-2.44%-5.27%-4.83%-4.09%
Free Cash Flow Growth239.60%-77.61%-52.93%268.10%
Safety
Net Debt / EBITDA18.6817.138.775.25
Interest Coverage4.634.867.33-4.38
Efficiency
Inventory Turnover1.101.081.111.03
Cash Conversion Cycle63.1861.7743.7961.67