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Ponsse Oyj Stock Quote

Ponsse Oyj (STG: PNS)

$26.10
(0.4%)
+0.10
Price as of January 9, 2026, 3:55 p.m. ET

KEY DATA POINTS

Current Price
€26.10
Daily Change
(0.4%) +$0.10
Day's Range
€25.80 - €26.10
Previous Close
€26.10
Open
€26.00
Beta
0.10
Volume
51
Average Volume
48
Market Cap
$731M
Market Cap / Employee
$26.10M
52wk Range
€19.20 - €31.30
Revenue
N/A
Gross Margin
0.16%
Dividend Yield
1.92%
EPS
€1.28
CAPs Rating
N/A
Industry
Machinery

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Ponsse Oyj Return vs. S&P

1 Year5 Year5 Year AnnualizedSince IPO
PNSN/AN/AN/AN/A
S&P+17.71%+82.14%+12.73%N/A
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Ponsse Oyj Company Info

Ponsse Oyj engages in the manufacture, servicing, sale, and technology of cut-to-length method forest machines. It operates through the following geographical segments: Northern Europe; Central and Southern Europe; Russia and Asia; and North and South America. The company was founded by Kalle Einari Vidgrén in 1970 and is headquartered in Vierema, Finland.

News & Analysis

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No news articles found for Ponsse Oyj.

Financial Health

General

Q3 2025YOY Change
Revenue$172.67M2.0%
Gross Profit$28.21M-20.3%
Gross Margin16.34%-4.6%
Market Cap$730.68M0.0%
Market Cap / Employee$345.97K0.0%
Employees2.1K2.7%
Net Income$7.59M-37.0%
EBITDA$18.49M-32.8%

Currently no data to display

Revenue Growth Rate

Currently no data to display.

Earnings Per Share Growth Rate

Currently no data to display.

Assets

Q3 2025YOY Change
Net Cash$67.11M6.3%
Accounts Receivable$60.38M7.9%
Inventory241.41.5%

Liabilities

Q3 2025YOY Change
Long Term Debt$62.66M-5.3%
Short Term Debt$35.26M-12.9%

Ratios

Q3 2025YOY Change
Return On Assets6.29%4.9%
Return On Invested Capital8.20%0.0%

Cash Flow

Q3 2025YOY Change
Free Cash Flow-$7,575.00K-238.8%
Operating Free Cash Flow-$209.00K-101.9%

Valuation

MetricQ4 2024Q1 2025Q2 2025Q3 2025YoY Change
Price to Earnings44.9824.8318.7920.73-72.84%
Price to Book1.772.332.222.26-
Price to Sales0.750.981.010.9925.78%
Price to Tangible Book Value2.172.792.632.69-
Price to Free Cash Flow TTM11.7213.3325.2843.87125.72%
Enterprise Value to EBITDA20.9833.8948.5841.9377.97%
Free Cash Flow Yield8.5%7.5%4.0%2.3%-55.70%
Return on Equity3.9%9.2%13.0%11.2%345.88%
Total Debt$86.93M$71.21M$68.28M$97.92M-8.22%

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