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MUSTI
Musti Group Oyj – HEL
Weekly Share Price & Valuation Overview
Market Overview
Open
20.1000
Close
20.1000
High
20.5500
Low
19.9400
Trend
0.19317

Musti Group Oyj

Finland • HEL - Nasdaq Helsinki • MUSTI • Currency: EUR

Musti Group Oyj operates as a pet care specialist in Finland, Sweden, and Norway. It offers pet foods and products. The company also provides veterinary, welfare, and trimming services. It sells its products under the Arken Zoo, Vetzoo, Musti ja Mirri, Musti ja Mirri, Peten Koiratarvike, and Musti brands through stores and online. The company was founded in 1988 and is based in Helsinki, Finland. As of March 6, 2024, Musti Group Oyj operates as a subsidiary of Sonae, SGPS, S.A.

Key strengths
  • High gross margin (≥35%) suggests strong pricing power or cost control.
  • Revenue growth ≥10% indicates solid top-line momentum.
Potential weaknesses
  • Quick ratio <0.8 — tight near-term liquidity without inventory.
  • Debt/EBITDA >4 — elevated leverage vs earnings capacity.
Scale & Structure Core size and share structure. TTM values unless noted. “Estimated” where reconciled from per-share × shares.
Market Cap Total equity value of the company (share price × shares outstanding).
EUR 667.09M
Enterprise Value Operating value: market cap + total debt − cash.
EUR 866.60M
Total Revenue (TTM) Sales over the last twelve months. May be estimated from revenue per share when inconsistent.
EUR 475.20M
Gross Profit (TTM) Revenue minus cost of goods sold over the last twelve months. Hidden for financial institutions or if redundant.
EUR 206.26M
EBITDA (TTM) Earnings before interest, taxes, depreciation and amortization (TTM). Hidden for financials or if implausible.
EUR 25.26M
Revenue per Share (TTM) Total revenue divided by shares outstanding (may be estimated).
EUR 14.23
EPS (TTM) Earnings per share over the last twelve months (may be estimated from net income ÷ shares).
0.11
Shares Outstanding
33.39M
Float Shares
4.45M
Implied Shares Outstanding
33.39M
Profitability & Efficiency TTM basis. “Reconciled” = numerator ÷ TTM revenue. Margins reflect latest TTM calculations.
Operating Margin (TTM) Operating income ÷ revenue over the last twelve months (reconciled when possible).
0.27%
EBITDA Margin (TTM) Reconciled EBITDA ÷ revenue over the last twelve months (suppressed if EBITDA implausible/financials).
5.32%
Gross Margin (TTM) Reconciled Strong Gross profit ÷ revenue over the last twelve months (reconciled when possible).
43.40%
Profit Margin (TTM) Net income ÷ revenue over the last twelve months (reconciled when possible).
0.30%
Growth Growth rates are YoY unless labeled QoQ.
Revenue Growth Strong Year-over-year revenue growth.
17.00%
Liquidity & Solvency Balance-sheet health. Debt metrics shown as latest ratios; D/E is a ratio (not %).
Quick Ratio Liquid current assets ÷ current liabilities (ex-inventory).
0.29
Debt to Equity Total debt ÷ shareholder equity; leverage.
1.25
Total Cash Cash and equivalents.
EUR 11.84M
Total Debt Short + long-term interest-bearing debt.
EUR 207.34M
Net Debt Total debt − cash (negative = net cash).
EUR 195.49M
Debt / EBITDA Leverage relative to operating earnings; lower is safer.
8.21
Cash Flow Shown only when internally consistent; margins are TTM.
Operating Cash Flow (TTM) Cash generated by core operations (pre-capex).
EUR 57.46M
OCF Margin (TTM) Operating cash flow ÷ revenue (TTM).
12.09%
Cash Conversion (OpCF/EBITDA)
2.27
Sharemaestro House View
Confidence: 1 Sharemaestro internal conviction (0–3, higher is better). Risk: 1 Sharemaestro internal risk profile (0–3, higher is safer). Operational: 1 Operational quality/consistency (0–3, higher is better). Composite Score: 1 Overall internal composite (0–3, higher is better). Suggested Allocation: 1.67% Indicative portfolio weighting suggestion based on house view.
Structural Insights (experimental)
Ownership & Liquidity
Free Float Proportion of shares available for public trading. 13.3%
Insiders Shares held by company insiders (officers, directors). 82.4%
Institutions Shares held by institutions (funds, pensions). 30.7%
Capital Structure
Potential Dilution Increase in share count if options/convertibles exercise.
None detected
Net Debt Total debt − cash (negative = net cash).
EUR 195.49M
41.1% of revenue Net debt relative to revenue — debt load vs business scale.
Resilience Score 0–100 composite of liquidity, leverage and cash conversion; higher is better. If inputs are unavailable, we estimate using proxies (Net debt vs revenue, Cash-to-Debt). It is a guide, not a rating. 33
Methodology Notes
  • Margins shown on a TTM basis. “Reconciled” = numerator ÷ TTM revenue for internal consistency.
  • Cash Flow section is displayed only when figures are self-consistent (and hidden for financials).
As of: 2025-08-19 09:34

Disclaimer: Information is compiled from publicly available sources and is subject to errors and omissions. It is provided as a guide only and does not constitute investment advice. Please do your own research.

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