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Kemira cuts outlook and warns of profit decline, shares fall to 52-week low
Kemira has issued a profit warning and lowered its outlook for 2026; the company now expects revenue of €2.6–3.0 billion and operating EBITDA of €400–500 million. The reason cited is higher raw material and logistics costs linked to the conflict in Iran. Previously Kemira missed Q1 consensus (EPS €0.29 vs. ~€0.32); revenue and operating EBITDA fell year‑on‑year, causing margin pressure. Analyst downgrades and a weak market environment intensified selling pressure; the stock fell intraday by 7.3% to €15.29 and reached a 52-week low. » More on de.investing.com
Kemira Q1 2026: revenue down 4%, profitability under pressure
Kemira reports a 4% revenue decline in Q1 2026 to 677 million EUR and organic growth of -3%. Operating EBITDA fell to 117.3 million EUR, the EBITDA margin dropped to 17.3%, and earnings per share declined 24% to 0.29 EUR. Main reasons are weak demand, negative currency effects and rising raw material and logistics costs; management responded with price increases and cost-cutting measures. The balance sheet and operating cash flow remained robust, two acquisitions were announced, and the 2026 full-year guidance is unchanged. » More on de.investing.com
Kemira reports 8% sales decline in Q4 2025 and falling EPS
Kemira reported an 8% sales decline for Q4 2025 and earnings per share of €1.18 versus €1.61 a year earlier. The stock fell about 5% in premarket trading, although the operating EBITDA margin remained robust above 19%. For 2026 the company forecasts revenue of €2.6–3.0 billion and operating EBITDA of €470–570 million, plans to focus on strategic acquisitions, innovation and sustainability investments, and warns of ongoing market weakness particularly in the pulp, paper and industrial water sectors. » More on de.investing.com
Historical dividends Dividends
All dividend metrics All metricsFinancials
| (EUR) | Jun 2026 | |
|---|---|---|
| Revenue | 693M | 0.06% |
| Gross profit | 72.1M | 44.11% |
| Net profit | 34M | 37.50% |
| EBITDA | 115.1M | 10.98% |
Fundamentals
| Metric | Value |
|---|---|
Market capitalization | €2.57B |
Number of shares | 144.78M |
52-week high/low | €21.46 - €15.29 |
Dividend yield | 4.23% |
Dividends TTM | €0.75 |
Beta | 0.43 |
P/E ratio | 18.27 |
PEG ratio | -0.55 |
P/B ratio | 1.81 |
P/S ratio | 0.94 |
Company profile
Kemira Oyj ist als Chemieunternehmen in Finnland, im übrigen Europa, im Nahen Osten, in Afrika, in Nord- und Südamerika und im asiatisch-pazifischen Raum tätig. Das Unternehmen ist in zwei Segmenten tätig: Zellstoff und Papier sowie Industrie und Wasser. Das Segment Zellstoff & Papier entwickelt und vermarktet Zellstoff-, Papier- und Verpackungschemikalien sowie eine Reihe von Produkten für die Papierveredelung, einschließlich Verpackung und Karton, und Tissueprodukte. Das Segment Industry & Water bietet Koagulierungsmittel, Polymere und andere Wasseraufbereitungschemikalien für die Rohwasser-, Abwasser- und Schlammbehandlung, die Reibungsreduzierung, die Behandlung von Abraum, Bergbauprozesse und Ölgewinnungsanwendungen an. Kemira Oyj wurde 1920 gegründet und hat seinen Hauptsitz in Helsinki, Finnland.
| Name | KEMIRA |
| CEO | Antti Salminen |
| Headquarters | Helsinki,
uu Finland |
| Website | |
| Sector | Materials |
| Industry | Chemicals |
| IPO | 01/03/2000 |
| Employees | 4,871 |
Deep Dive
Ticker symbols
| Exchange | Symbol |
|---|---|
Pnk | KOYJF |
Hel | KEMIRA.HE |
Helsinki | KEMIRA.HE |
Frankfurt | KEM.F |
Düsseldorf | KEM.DU |
London | 0MGG.L |
SIX | KRA1V.SW |
München | KEM.MU |
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