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INDICATIVE · SAMPLE DATA
SOAC58

Solvac SA

Diversified ChemicalsVerified

Solvac maintains a strong equity position with a total equity of EUR 2.52 billion and a low debt-to-equity ratio of 0.06, indicating a conservative capital structure. However, the company's liquidity position is constrained, as evidenced by a current ratio of 0.54 and negative net cash after subtracting total debt. This suggests that the company may face challenges in meeting short-term obligations without external financing or operational improvements. Profitability metrics for Solvac are robust, with a return on equity (ROE) of 4.98% and a return on assets (ROA) of 4.59%. These figures are in line with the industry's preferred metrics, which emphasize asset efficiency and capital returns. The company's operating income of EUR 128.56 million and net income of EUR 125.31 million reflect strong operational performance. Geographically, Solvac's revenue is not disclosed by region in the available data, but the company's exposure to the chemicals industry implies a global customer base. The lack of segment-specific revenue data limits the ability to assess geographic concentration risk. However, the company's diversified product portfolio suggests a broad market reach. Looking ahead, Solvac's growth trajectory is supported by its strong profitability and capital structure. The company's operating cash flow is negative at EUR -3.93 million, but free cash flow remains positive at EUR 1.12 million. Analysts have set a mean price target of EUR 93.35, with a median of EUR 93.35 and a high of EUR 96.70, indicating a generally positive outlook. Risk factors for Solvac include liquidity constraints and the potential for dilution, although the latter is currently assessed as low. The company's negative net cash position after debt is a key flag, suggesting the need for careful management of working capital and debt obligations. No recent events or filings have been disclosed in the available data, so the company's risk profile is based on existing financial metrics and analyst estimates.

30-day price · SOAC+2.00 (+2.7%)
Low$70.50High$78.00Close$75.00As of25 May, 00:00 UTC
Profile
CompanySolvac SA
TickerSOAC.BR
SectorBasic Materials
BusinessChemicals
Industry groupChemicals
IndustryDiversified Chemicals
AI analysis

Business. Solvac SA is a diversified chemicals company that produces and distributes a range of chemical products, primarily serving industrial and consumer markets.

Classification. Solvac is classified under the Basic Materials economic sector, within the Chemicals business sector and Diversified Chemicals industry, with a classification confidence of 0.92.

Solvac maintains a strong equity position with a total equity of EUR 2.52 billion and a low debt-to-equity ratio of 0.06, indicating a conservative capital structure. However, the company's liquidity position is constrained, as evidenced by a current ratio of 0.54 and negative net cash after subtracting total debt. This suggests that the company may face challenges in meeting short-term obligations without external financing or operational improvements. Profitability metrics for Solvac are robust, with a return on equity (ROE) of 4.98% and a return on assets (ROA) of 4.59%. These figures are in line with the industry's preferred metrics, which emphasize asset efficiency and capital returns. The company's operating income of EUR 128.56 million and net income of EUR 125.31 million reflect strong operational performance. Geographically, Solvac's revenue is not disclosed by region in the available data, but the company's exposure to the chemicals industry implies a global customer base. The lack of segment-specific revenue data limits the ability to assess geographic concentration risk. However, the company's diversified product portfolio suggests a broad market reach. Looking ahead, Solvac's growth trajectory is supported by its strong profitability and capital structure. The company's operating cash flow is negative at EUR -3.93 million, but free cash flow remains positive at EUR 1.12 million. Analysts have set a mean price target of EUR 93.35, with a median of EUR 93.35 and a high of EUR 96.70, indicating a generally positive outlook. Risk factors for Solvac include liquidity constraints and the potential for dilution, although the latter is currently assessed as low. The company's negative net cash position after debt is a key flag, suggesting the need for careful management of working capital and debt obligations. No recent events or filings have been disclosed in the available data, so the company's risk profile is based on existing financial metrics and analyst estimates.
Key takeaways
  • Solvac has a strong equity position and a conservative capital structure with a low debt-to-equity ratio of 0.06.
  • The company's profitability is robust, with ROE and ROA of 4.98% and 4.59%, respectively.
  • Liquidity is a concern, as the current ratio is 0.54 and net cash is negative after subtracting total debt.
  • Analysts have a generally positive outlook, with a mean price target of EUR 93.35.
  • The company's growth is supported by strong profitability and a positive free cash flow of EUR 1.12 million.
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  • # RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyEUR
Revenue$132.5M
Gross profit
Operating income$128.6M
Net income$125.3M
R&D
SG&A
D&A
SBC
Operating cash flow-$3.9M
CapEx
Free cash flow$1.1M
Total assets$2.73B
Total liabilities$215.4M
Total equity$2.52B
Cash & equivalents$3.3M
Long-term debt$150.1M
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$2.52B
Net cash-$146.8M
Current ratio0.5
Debt/Equity0.1
ROA4.6%
ROE5.0%
Cash conversion-3.0%
CapEx/Revenue
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Diversified Chemicals · cohort 83 companies
MetricSOACActivity
Op margin97.0%6.3% medp25 2.1% · p75 9.6%top quartile
Net margin94.6%3.3% medp25 0.2% · p75 6.4%top quartile
Gross margin23.5% medp25 13.2% · p75 31.9%
R&D / revenue1.9% medp25 1.9% · p75 1.9%
CapEx / revenue-5.5% medp25 -11.2% · p75 -3.8%
Debt / equity6.0%42.1% medp25 16.7% · p75 82.4%bottom quartile
Observations
IR observations
Mean price target93.35 EUR
Median price target93.35 EUR
High price target96.70 EUR
Low price target90.00 EUR
Mean recommendation3.00 (1=strong buy, 5=strong sell)
Strong-buy count0.00
Buy count0.00
Hold count2.00
Sell count0.00
Strong-sell count0.00
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod financials
no public URL
2026-05-24 17:49 UTC#a8df0bac
Source: analysis-pipeline (hybrid)Generated: 2026-05-29 12:25 UTCJob: 94d30093