Materials · Nasdaq Omx Helsinki Ltd. · FYE 12-31 · Prices AT CLOSE 2026-07-29 (EUR) — end-of-day, never a live or intraday quote
Last €23.31Day +0.52%Mkt cap $14.1BP/E (FY) 25.6×1Y +0.3%Off 52W high −16.6%Vol (1Y) 25.3%
Daily closing price, split-adjusted to the current basis; 2.8y shown of 4,111 bars on file. Sampled to 240 points — every point is a real close, none averaged. Price return, not total return (dividends excluded). Source marketstack.
| Fair value (model)€13.57 |
| Implied upside−41.8% |
| Valuation confidenceMEDIUM |
| Price impliesAGGRESSIVE · 13.6% growth |
Fair value, confidence and the reverse-DCF grade are the MATERIALIZED daily snapshot (the same columns the screener serves), not a live model run.
| P/E (FY)25.6× |
| Sales (TTM)€9.66B |
| Earnings (TTM)€480.0M |
| ROE4.5% |
| Net margin5.0% |
| ROIC3.8% |
| Debt / equity0.38× |
| Total debt / EBITDA2.83× |
| EPS growth 3Y−31.7% |
| Sales growth 3Y−6.3% |
Screener basis: ratios from the latest reported fiscal year; Sales/Earnings are trailing twelve months in the reporting currency (EUR). The P/E is a trailing FULL-YEAR P/E, not TTM. Missing lines are absent from the filings, never imputed.
| YTD−3.3% |
| 1Y+0.3% |
| 3Y−8.8% |
| 5Y−15.1% |
| 10Y+99.0% |
| Since incept. (ann.)+11.6% |
Total return through 2026-07-29 · series begins 2010-01-04. Only the windows this history actually covers are shown.
| Ann. volatility (1Y)25.3% |
| Ann. volatility (3Y)24.6% |
| Sharpe (1Y)0.18 |
| Sharpe (3Y)−0.00 |
| Max drawdown (1Y)−17.6% |
| Max drawdown (3Y)−35.4% |
| Beta (3Y vs SPY)−0.13 |
Daily simple returns, annualized; drawdown is peak-to-trough within the window. Beta is the OLS slope of monthly returns on SPY's over three years. Each figure is labeled by the window it was measured over — they are not comparable across windows.
No 13F holders on file for UPM.HE.
No reported quarters on file for UPM.HE.