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INDICATIVE · SAMPLE DATA
SPINN57

Spinnova Oyj

Specialty ChemicalsVerified

Spinnova’s capital structure is characterized by a lack of disclosed liquidity metrics, as no balance-sheet inputs are available and no going-concern language is present in source documents. The company has no dilution risk in the near term, as shares outstanding remain unchanged between basic and diluted counts. Profitability and returns are not quantifiable due to the absence of valuation snapshot data. Industry_config preferred metrics for Specialty Chemicals typically include EBITDA margins, ROIC, and working capital efficiency, but none of these are available for Spinnova. Cohort median comparisons cannot be made without financials. Spinnova’s revenue is concentrated in a single business model—licensing its fiber technology and selling sustainable textile products. No geographic breakdown is disclosed, but the company is headquartered in Finland, suggesting potential exposure to European markets. Growth trajectory is unclear due to the absence of historical revenue data and forward-looking guidance. Analysts have not issued any price targets or recommendations, with all estimates set to 0.45 EUR and a mean recommendation of 4.00 (neutral). Risk factors include unassessable liquidity and the absence of disclosed capital structure details. No dilution risk is currently present, but the lack of financial transparency limits the ability to evaluate long-term credit risk. Recent events include the absence of disclosed filings or transcripts, which limits visibility into management commentary or strategic updates.

30-day price · SPINN+0.01 (+2.7%)
Low$0.41High$0.55Close$0.44As of17 May, 00:00 UTC
Profile
CompanySpinnova Oyj
TickerSPINN.HE
SectorBasic Materials
BusinessChemicals
Industry groupChemicals
IndustrySpecialty Chemicals
AI analysis

Business. Spinnova Oyj develops and commercializes a patented fiber production technology for sustainable textiles, generating revenue through licensing and product sales.

Classification. Spinnova is classified in the Basic Materials sector under Specialty Chemicals, with a confidence level of 0.92 based on verified market data.

Spinnova’s capital structure is characterized by a lack of disclosed liquidity metrics, as no balance-sheet inputs are available and no going-concern language is present in source documents. The company has no dilution risk in the near term, as shares outstanding remain unchanged between basic and diluted counts. Profitability and returns are not quantifiable due to the absence of valuation snapshot data. Industry_config preferred metrics for Specialty Chemicals typically include EBITDA margins, ROIC, and working capital efficiency, but none of these are available for Spinnova. Cohort median comparisons cannot be made without financials. Spinnova’s revenue is concentrated in a single business model—licensing its fiber technology and selling sustainable textile products. No geographic breakdown is disclosed, but the company is headquartered in Finland, suggesting potential exposure to European markets. Growth trajectory is unclear due to the absence of historical revenue data and forward-looking guidance. Analysts have not issued any price targets or recommendations, with all estimates set to 0.45 EUR and a mean recommendation of 4.00 (neutral). Risk factors include unassessable liquidity and the absence of disclosed capital structure details. No dilution risk is currently present, but the lack of financial transparency limits the ability to evaluate long-term credit risk. Recent events include the absence of disclosed filings or transcripts, which limits visibility into management commentary or strategic updates.
Key takeaways
  • Spinnova operates in the Specialty Chemicals industry with a focus on sustainable fiber technology.
  • No liquidity or profitability metrics are available, limiting valuation analysis.
  • Analysts have not issued any strong buy or buy ratings, with all price targets set to 0.45 EUR.
  • The company has no near-term dilution risk, but financial transparency is limited.
  • --
  • ## RATIONALES
  • ```json
  • {
Financial snapshot
PeriodHA-latest
CurrencyEUR
Revenue
Gross profit
Operating income
Net income
R&D
SG&A
D&A
SBC
Operating cash flow
CapEx
Free cash flow
Total assets
Total liabilities
Total equity
Cash & equivalents
Long-term debt
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$6.1M-$7.2M-$15.4M-$17.2M
FY-3$24.3M-$13.1M-$15.1M-$18.0M
FY-2$10.6M-$20.9M-$19.6M-$18.0M
FY-1$762.0k-$18.3M-$16.8M-$14.4M
FY0$344.0k-$41.3M-$40.7M-$37.8M
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$123.7M$113.9M$7.3M
FY-3$119.9M$102.9M$33.2M
FY-2$98.6M$87.3M$15.2M
FY-1$83.3M$71.2M$2.0M
FY0$63.3M$30.5M$7.5M
PeriodOCFCapExFCFSBC
FY-4-$9.5M-$2.6M-$17.2M
FY-3-$5.2M-$4.6M-$18.0M
FY-2-$14.0M-$935.0k-$18.0M
FY-1-$8.7M-$323.0k-$14.4M
FY0-$11.9M-$366.0k-$37.8M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodOCFCapExFCFSBC
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
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
Net cash
Current ratio
Debt/Equity
ROA
ROE
Cash conversion
CapEx/Revenue
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskUnknown
  • Liquidity risk could not be assessed (no balance-sheet inputs and no going-concern language in source documents).
Industry benchmarks
Activity: Chemicals · cohort 1439 companies
MetricSPINNActivity
Op margin5.5% medp25 -0.0% · p75 10.8%
Net margin4.1% medp25 0.1% · p75 8.8%
Gross margin20.5% medp25 12.4% · p75 29.7%
R&D / revenue1.5% medp25 1.0% · p75 2.1%
CapEx / revenue-6.2% medp25 -13.4% · p75 -2.6%
Debt / equity37.1% medp25 10.3% · p75 82.0%
Observations
IR observations
Mean price target0.45 EUR
Median price target0.45 EUR
High price target0.45 EUR
Low price target0.45 EUR
Mean recommendation4.00 (1=strong buy, 5=strong sell)
Strong-buy count0.00
Buy count0.00
Hold count0.00
Sell count1.00
Strong-sell count0.00
Mean EPS estimate-0.21 EUR
Last actual EPS-0.78 EUR
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-08 01:38 UTC#98e686bd
Source: analysis-pipeline (hybrid)Generated: 2026-05-29 13:08 UTCJob: 1e86d345