Kempower Oyj
KEMPOWR · Nasdaq Helsinki · Finland
Price data from its D9C listing on XSTU
kempower.comFinancials as of FY2025
At a glance
- Depends onDownstream position: depends on 11 industries, supplies 6
- PositionGross margin is 50.1%, higher than 95% of its Electrical Equipment & Parts peers (median 22.5%)
- FinancialsAltman Z-Score 4.76: safe zone
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Financials view
Market Capitalization
863.75MEUR1.01B · vs all stocks (USD)
Revenue (TTM)
281.10MEUR328.39M · vs all stocks (USD)
Profit Margin
-3.16%vs Electrical Equipment & Parts peers
Beta
0.4750xvs all stocks
52-Week Change
-37.51%vs all stocks
Market Capitalization
863.75MEUR1.01B · vs all stocks (USD)
Enterprise Value
559.54MEUR653.68M · vs all stocks (USD)
Forward P/E
32.48xvs Electrical Equipment & Parts peers
Price to Sales (TTM)
1.99xvs Electrical Equipment & Parts peers
Price to Book (MRQ)
5.64xvs Electrical Equipment & Parts peers
Enterprise to Revenue
1.99xvs Electrical Equipment & Parts peers
Enterprise to EBITDA
-153.46xvs Electrical Equipment & Parts peers
Gross Margin
50.15%vs Electrical Equipment & Parts peers
Profit Margin
-3.16%vs Electrical Equipment & Parts peers
Operating Margin
-3.35%vs Electrical Equipment & Parts peers
Return on Assets (TTM)
-2.53%vs Electrical Equipment & Parts peers
Return on Equity (TTM)
-8.80%vs Electrical Equipment & Parts peers
Revenue (TTM)
281.10MEUR328.39M · vs all stocks (USD)
Revenue per Share (TTM)
5.07EURUpdated Aug 21, 2026Quarterly Revenue Growth
10.30%vs Electrical Equipment & Parts peers
Gross Profit (TTM)
137.71MEUR160.88M · vs all stocks (USD)
EBITDA (TTM)
-3.65MEUR-4.26M · vs all stocks (USD)
Net Income (TTM)
-8.89MEUR-10.39M · vs all stocks (USD)
Quarterly Earnings Growth (YoY)
57.70%vs Electrical Equipment & Parts peers
Operating Cash Flow (TTM)
-5.90MEUR-6.89M · vs all stocks (USD)
Levered Free Cash Flow (TTM)
-10.03MEUR-11.72M · vs all stocks (USD)
Trailing Annual Dividend Rate
0.00EURUpdated Aug 21, 2026Trailing Annual Dividend Yield
0.00%vs all stocks
Payout Ratio
0.00%vs Electrical Equipment & Parts peers
Revenue
251.30MEURFY2025 · Dec 31, 2025Cost of Goods Sold
123.59MEURFY2025 · Dec 31, 2025Gross Profit
127.71MEURFY2025 · Dec 31, 2025Operating Income
-14.55MEUR-16.99M · vs all stocks (USD)
Pre-tax Income
-15.00MEURFY2025 · Dec 31, 2025Income Tax Expense
-2.61MEURFY2025 · Dec 31, 2025Net Income
-12.39MEURFY2025 · Dec 31, 2025EBIT
-12.77MEURFY2025 · Dec 31, 2025EBITDA (Income Statement)
-1.09MEURFY2025 · Dec 31, 2025Research & Development
5.34MEURFY2025 · Dec 31, 2025Selling, General & Administrative
17.18MEURFY2025 · Dec 31, 2025Other Operating Expenses
30.92MEURFY2025 · Dec 31, 2025Non-operating Interest Income
388.50KEURFY2025 · Dec 31, 2025Non-operating Interest Expense
2.23MEURFY2025 · Dec 31, 2025EPS (Basic)
-0.2200EURFY2025 · Dec 31, 2025EPS (Diluted)
-0.2200EURFY2025 · Dec 31, 2025Basic Shares Outstanding
55.35MSharesFY2025 · Dec 31, 2025Diluted Shares Outstanding
55.35MSharesFY2025 · Dec 31, 2025Net Income from Continuing Operations
-12.39MEURFY2025 · Dec 31, 2025Preferred Stock Dividends
0.00EURFY2025 · Dec 31, 2025Operating Cash Flow
-33.04MEURFY2025 · Dec 31, 2025Free Cash Flow
-36.88MEURFY2025 · Dec 31, 2025Cash & Cash Equivalents (End of Period)
3.89MEURFY2025 · Dec 31, 2025Starting Profit (CF Statement)
-12.39MEURFY2025 · Dec 31, 2025Stock-based Compensation
2.39MEURFY2025 · Dec 31, 2025Other Non-cash Items
2.13MEURFY2025 · Dec 31, 2025Change in Accounts Receivable (CF)
-23.41MEURFY2025 · Dec 31, 2025Change in Other Assets/Liabilities
-1.76MEURFY2025 · Dec 31, 2025Capital Expenditures
-3.84MEURFY2025 · Dec 31, 2025Net Intangibles (CF)
-4.28MEURFY2025 · Dec 31, 2025Net Investing Cash Flow
-3.84MEURFY2025 · Dec 31, 2025Long-term Debt Payments
-6.47MEURFY2025 · Dec 31, 2025Net Short-term Debt Issuance
-381.50KEURFY2025 · Dec 31, 2025Other Financing Charges
100.00EURFY2025 · Dec 31, 2025Net Financing Cash Flow
-6.68MEURFY2025 · Dec 31, 2025Shares Outstanding
55.45MSharesUpdated Aug 21, 2026Float Shares
20.01MSharesUpdated Aug 21, 2026% Held by Insiders
65.24%vs all stocks
% Held by Institutions
13.15%vs all stocks
Total Cash (MRQ)
44.90MEUR52.45M · vs all stocks (USD)
Total Cash per Share (MRQ)
0.8100EURUpdated Aug 21, 2026Total Debt (MRQ)
46.10MEUR53.86M · vs all stocks (USD)
Total Debt to Equity (MRQ)
0.4714xvs Electrical Equipment & Parts peers
Current Ratio (MRQ)
1.38xvs Electrical Equipment & Parts peers
Book Value per Share (MRQ)
1.79EURUpdated Aug 21, 2026Total Assets
246.82MEUR288.35M · vs all stocks (USD)
Total Current Assets
179.41MEURFY2025 · Dec 31, 2025Total Liabilities
144.91MEURFY2025 · Dec 31, 2025Total Non-current Assets
67.41MEURFY2025 · Dec 31, 2025Total Non-current Liabilities
22.59MEURFY2025 · Dec 31, 2025Total Current Liabilities
122.32MEURFY2025 · Dec 31, 2025Cash & Cash Equivalents
3.89MEURFY2025 · Dec 31, 2025Other Short-term Investments
51.03MEURFY2025 · Dec 31, 2025Accounts Receivable
52.49MEURFY2025 · Dec 31, 2025Inventory
58.45MEURFY2025 · Dec 31, 2025Accounts Payable
44.08MEURFY2025 · Dec 31, 2025Short-term Debt
18.54MEURFY2025 · Dec 31, 2025Other Current Liabilities
1.90MEURFY2025 · Dec 31, 2025Long-term Debt
17.22MEURFY2025 · Dec 31, 2025Other Non-current Liabilities
64.00KEURFY2025 · Dec 31, 2025Common Stock (Book)
80.00KEURFY2025 · Dec 31, 2025Retained Earnings
9.68MEURFY2025 · Dec 31, 2025Total Shareholders' Equity
101.91MEUR119.06M · vs all stocks (USD)
Treasury Stock
3.69MEURFY2025 · Dec 31, 202552-Week Low
9.86EURUpdated Aug 21, 202652-Week High
17.35EURUpdated Aug 21, 202652-Week Change
-37.51%vs all stocks
Beta
0.4750xvs all stocks
50-Day MA
11.59EURUpdated Aug 21, 2026200-Day MA
13.57EURUpdated Aug 21, 2026Avg 10-Day Volume
58.22KSharesUpdated Aug 21, 2026Avg 30-Day Volume
97.16KSharesUpdated Aug 21, 2026Diluted EPS (TTM)
-0.1600EURUpdated Aug 21, 2026Shared structure with peers — never a ranking.
Relationships view
Structural observations derived from financial data, industry benchmarks, and supply chain position.
Peer Positioning
Gross margin is 50.1%, higher than 95% of its Electrical Equipment & Parts peers (median 22.5%)Significant
Gross margin: 0.50Industry median: 0.23Industry P95: 0.48Peers compared: 241
Structural Tensions
High gross margins eroded by operating costsNotable
Gross Margin: 0.50Profit Margin: -0.03
Financial Health
Altman Z-Score 4.76: safe zoneNotable
Altman Z-Score: 4.76
Consistent revenue growth patternNotable
Growth Consistency Score: 0.64
Supply Chain
Downstream position: depends on 11 industries, supplies 6Notable
Outgoing: 6.00Incoming: 11.00
High connectivity hub: 17 industry connectionsNotable
Total Connections: 17.00
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