Norrhydro Group Oyj - Profitability and Solvency
Norrhydro Group Oyj
Helsinki First North


Margins

Norrhydro's profitability margins have been positively impacted by the company's determined efforts to develop operational efficiency and successful cost management. However, the significant increase in EBITDA margin from 8.2% to 9.0% suggests that cost savings initiatives have been a key driver of this improvement, with Norrhydro likely having made strides in reducing its material and personnel expenses. Furthermore, the company's ability to maintain a high level of delivery reliability and product quality, despite a weaker second quarter, indicates that its cost management efforts have also had a positive impact on its operational performance.





Solvency

In Q2 2026, Norrhydro's Equity Ratio is 35.8%. Looking ahead, there is a potential for an increase in the Equity Ratio by Q4 2027 (e), although the exact magnitude of this increase is uncertain. The five-year average Equity Ratio stands at 38.3%.



Norrhydro gearing is at 95.7% in Q2 2026. It is expected to decrease to 72.9% by Q4 2027 (e), indicating a downward trend. The five-year average gearing is 93.1%.



Return on Equity and Assets

Norrhydro's ROE in Q2 2026 is 5.9%. Looking ahead, there is a significant increase expected in ROE by Q4 2027 (e), reaching 11.9%. The five-year average ROE is 0.8%.





Norrhydro's ROA in Q2 2026 is 2.1%, indicating a strong return on assets during this period. Looking ahead, the company's ROA is expected to increase to 5.0% by Q4 2027 (e), a significant improvement from the current level. The five-year average ROA stands at 0.7%, providing a benchmark for the company's historical performance.



Asset Turnover Ratio

Asset Turnover Ratio is calculated as revenue / total assets.



Nokian Panimo Oyj Pallas Air Oyj









Disclaimer

Risk Disclosure: Trading in financial instruments involves high risks including the risk of losing some, or all, of your investment amount, and may not be suitable for all investors. Prices are extremely volatile and may be affected by external factors such as financial, regulatory or political events. Trading on margin increases the financial risks.

Before deciding to trade in financial instrument you should be fully informed of the risks and costs associated with trading the financial markets, carefully consider your investment objectives, level of experience, and risk appetite, and seek professional advice where needed.

The data contained in this website is not necessarily real-time nor accurate. The data and prices on the website are not provided by any market or exchange, but may be provided by market makers, and so prices may not be accurate and may differ from the actual price at any given market, meaning prices are indicative and not appropriate for trading purposes.

Contact: quant@quantfactory.eu