WinstonWınston
Stock

Stora Enso Oyj

SEOJF
38
Packaging & Containers · Consumer Cyclical
Price
$12.00
+0.00 (+0.00%)
Market Cap
$9.46B
Exchange
Other OTC
Winston Score
38
Winston is serious
Below-average fundamentals — multiple weak pillars.
Data as of Sep 17, 2026 · filings through Jun 30, 2026

§How the score breaks down

Quality
Weak
Growth
Weak
Cash Flow
Mixed
Stability
Strong
Valuation
Strong
Dividends
Weak

§Winston Score History

The full picture

Stora Enso is a Finnish-Swedish company that makes packaging, wood products, and biomaterials from trees. It produces cardboard for food and consumer goods packaging, sawn timber for construction, and pulp used in paper and other products. It is one of the largest forest products companies in the world, with roots going back over 700 years.

The company earns revenue by selling packaging materials, wood products, and pulp to businesses across Europe and globally. It owns vast forests in Scandinavia, giving it a reliable supply of raw materials and a significant competitive advantage. Key growth opportunities include rising demand for renewable and recyclable packaging as companies move away from plastics, though the business remains exposed to cyclical swings in commodity prices and construction activity.

Share count broadly stable

+0.1% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 789.1M (2021) → 789.7M (2025)

Score breakdown

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Quality

Profit per sale
Gross Margin
24.5%
Thin — 24.5% gross margin
Profit after running costs
Operating Margin
0.3%
Thin — 0.3% operating margin
Return on the money invested
ROCE
5.0%
Weak — 5.0% return on capital

ROIC between 5% and 15%. They earn 5 to 15 cents back per year on every dollar invested.

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Growth

Sales growth
Sales YoY
-0.4%
Shrinking sales (-0.4% YoY)
Profit growth
EPS YoY
N/A
Data not available
How steady the profit is
EPS Consistency
4/8 quarters
Earnings inconsistent quarter-to-quarter

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Cash Flow

Profit that turns into cash
Cash Conversion
92%
Modest — 92% of profit becomes cash
Spare cash per sale
FCF Margin
-0.5%
Burning cash (-0.5%)

Free cash flow is negative. They are burning cash, not generating it.

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Stability

What it owes vs what it owns
Debt / Equity
0.44
Conservative — low debt load (0.44)
Covers its interest
Interest Cover
5.38x
Adequate interest coverage (5.4x)

Interest coverage between 3 and 8. Profits cover interest several times over.

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Valuation

Price vs profit
P/E Ratio (TTM)
16.3x
Fair value — P/E 16.3

P/E in the normal range. Price is roughly $15 for every $1 of yearly profit.

Cheaper or dearer next year
P/E vs Forward
+3.5
GROWING
Earnings expected to grow meaningfully — cheaper on forward P/E (16.3 → 12.8)

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Dividends

Dividend
Dividend Yield
1.18%
Small dividend — 1.18% yield

Modest yield. The bulk of any return needs to come from price appreciation.

Dividend record
Dividend Growth
-60.7%
Dividend cut (-60.7% YoY) — warning sign

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