Huhtamäki Oyj
HLSE:HUH1V
28,42
+ €0,48 (1,72%)
28,42
+€0,48 (1,72%)
End-of-day quote: 04/01/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

€2,48
Earnings Per Share
€37,73
Revenue Per Share
17,52%
Gross Margin %
€2,98 B
Market Cap
€1,32 B
Long-Term Debt
Earnings Per Share
€2,48
Revenue Per Share
€37,73
Gross Margin %
17,52%
Market Cap
€2,98 B
Long-Term Debt
€1,32 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €2,48 €2,48 €2,32 €2,49 €2,07 €1,95 €1,88 €1,70 €1,90 €1,83 €1,65 €1,24 €1,21 €1,21 €0,87 €0,92 €0,85 €-0,04 €0,87 €1,06
Earnings Earnings €260,33M €259,80M €242,53M €259,86M €216,03M €203,48M €196,18M €177,36M €197,81M €190,06M €171,11M €128,40M €125,09M €124,16M €88,28M €93,14M €85,85M €-4,02M €87,37M €106,46M
RPS Revenue Per Share €37,73 €39,39 €39,88 €42,92 €34,26 €31,64 €32,57 €29,75 €28,71 €27,59 €26,29 €21,59 €22,66 €22,41 €20,14 €19,28 €20,18 €22,50 €23,00 €22,66
Revenue Revenue €3,96B €4,13B €4,17B €4,48B €3,57B €3,30B €3,40B €3,10B €2,99B €2,87B €2,73B €2,24B €2,34B €2,30B €2,04B €1,95B €2,04B €2,26B €2,31B €2,28B
OCF Operating Cash Flow €503,83M €432,70M €578,20M €321,40M €222,70M €428,60M €426,40M €253,00M €256,70M €297,50M €237,70M €178,90M €173,90M €190,20M €146,20M €191,30M €255,00M €170,90M €105,80M €139,10M
FCF Free Cash Flow €278,71M €184,80M €218,50M €2,90M €-36,70M €205,10M €222,50M €56,10M €41,90M €100,00M €90,80M €51,90M €52,90M €96,70M €64,90M €105,50M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 8,10% 8,48% 8,08% 8,23% 8,35% 8,84% 8,26% 6,60% 9,05% 9,16% 8,47% 7,43% 6,98% 6,66% 6,25% 6,71% 6,21% 1,64% 3,02% 6,22%
GM % Gross Margin % 17,52% 18,94% 18,08% 16,46% 16,86% 17,77% 17,15% 15,23% 17,21% 18,06% 17,27% 15,61% 15,58% 16,03% 15,33% 16,39% 16,64% 10,71% 12,41% 14,97%
FCFS Free Cash Flow Per Share €2,91 €1,76 €2,48 €0,03 €-0,35 €1,97 €2,13 €0,74 €0,40 €0,95 €0,88 €0,50 €0,51 €0,95 €0,63 €1,04 €2,01 €0,96 €-0,42 €-0,15
LT Debt Long-Term Debt €1,32B €1,19B €1,27B €1,27B €1,13B €810,00M €742,70M €626,80M €635,90M €510,90M €491,50M €519,40M €591,50M €424,10M €257,60M €280,00M €294,20M €474,40M €400,10M €313,00M
Sha. Stocks 104,97M 104,76M 104,54M 104,36M 104,36M 104,35M 104,35M 104,33M 104,11M 103,86M 103,7M 103,55M 103,38M 102,61M 101,47M 101,24M 101M 100,43M 100,43M 100,43M
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