tiprankstipranks
Solvay (SLVYY)
OTHER OTC:SLVYY
Want to see SLVYY full AI Analyst Report?

Solvay (SLVYY) Price & Analysis

60 Followers

SLVYY Stock Chart & Stats

$3.16
-$0.02(-0.49%)
At close: 4:00 PM EST
$3.16
-$0.02(-0.49%)

Bulls Say, Bears Say

Bulls Say
Diverse Specialty-chemicals PortfolioSolvay's wide range of specialty materials and formulations serving automotive, aerospace, electronics, energy, construction, consumer care and industrial markets reduces dependence on any single end-market. This diversification smooths cyclicality, supports steady demand and underpins resilience in revenues and product mix over months to years.
Consistent Positive Free Cash FlowOngoing positive operating and free cash flow provides durable funding for working capital, maintenance capex, debt servicing and strategic investments. Even with uneven amounts, repeated FCF generation improves financial flexibility versus peers without persistent cash generation, reducing refinancing and liquidity risk.
High-performance, Value-added ProductsSupplying engineered polymers and composites for demanding applications creates higher technical barriers to entry and longer qualification cycles. Those characteristics foster stickier customer relationships, allow pricing for differentiated performance and support margin durability versus commoditized chemical segments.
Bears Say
Multi-period Revenue DeclineSustained top-line declines across successive years erode economies of scale, constrain pricing leverage and limit reinvestment capacity. If revenue shrinkage persists, it will pressure operating leverage, make margin recovery harder and reduce cash available for deleveraging or strategic initiatives over the medium term.
Materially Higher LeverageA meaningfully more levered capital structure reduces financial flexibility and makes the company more vulnerable to profit swings. Higher leverage amplifies downside risk from further operational weakness and limits ability to fund large investments or absorb shocks without costly refinancing or asset sales.
Compressed Profitability To Net LossErosion from healthy gross profits to a small net loss signals margin pressure and volatile operating performance. Weak or negative net income reduces retained earnings, strains equity, complicates dividend and capex planning, and increases the need to restore consistent operating profitability to rebuild balance-sheet strength.

Solvay News

SLVYY FAQ

What was Solvay’s price range in the past 12 months?
Solvay lowest stock price was $2.83 and its highest was $3.54 in the past 12 months.
    What is Solvay’s market cap?
    Solvay’s market cap is $3.26B.
      When is Solvay’s upcoming earnings report date?
      Solvay’s upcoming earnings report date is Jul 29, 2026 which is in 45 days.
        How were Solvay’s earnings last quarter?
        Solvay released its earnings results on May 07, 2026. The company reported $0.086 earnings per share for the quarter, beating the consensus estimate of $0.07 by $0.016.
          Is Solvay overvalued?
          According to Wall Street analysts Solvay’s price is currently Overvalued. Get more investment ideas with TipRanks Premium
            Does Solvay pay dividends?
            Solvay pays a Semiannually dividend of $0.169 which represents an annual dividend yield of 9.49%. See more information on Solvay dividends here
              What is Solvay’s EPS estimate?
              Solvay’s EPS estimate is 0.05.
                How many shares outstanding does Solvay have?
                Solvay has 1,058,760,000 shares outstanding.
                  What happened to Solvay’s price movement after its last earnings report?
                  Solvay reported an EPS of $0.086 in its last earnings report, beating expectations of $0.07. Following the earnings report the stock price went down -7.191%.
                    Which hedge fund is a major shareholder of Solvay?
                    Currently, no hedge funds are holding shares in SLVYY
                    What is the TipRanks Smart Score and how is it calculated?
                    Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology

                      Solvay Stock Smart Score

                      4
                      Neutral
                      1
                      2
                      3
                      4
                      5
                      6
                      7
                      8
                      9
                      10

                      Technicals

                      SMA
                      Negative
                      20 days / 200 days
                      Momentum
                      -19.99%
                      12-Months-Change

                      Fundamentals

                      Return on Equity
                      -2.32%
                      Trailing 12-Months
                      Asset Growth
                      1.77%
                      Trailing 12-Months

                      Company Description

                      Solvay

                      Solvay S.A. is a global enterprise specializing in high-performance materials and an array of unique chemical products. Its operations are structured into four primary divisions: Materials, Chemicals, Solutions, and Corporate & Business Services. The Materials division delivers advanced polymers, such as aromatic, high-barrier, and fluoropolymers, catering to critical industries like electronics, automotive, aerospace, and healthcare. It also provides composite materials for sophisticated aerospace engineering applications. The Chemicals division manufactures fundamental chemicals including soda ash and sodium bicarbonate, which are largely supplied to the glass, detergent, pharmaceutical, animal feed, and food sectors. This segment also produces hydrogen peroxide, primarily used for bleaching pulp in the paper industry, as well as for chemical, electronic, food, mining, and environmental applications. Additionally, it offers dispersible silica for tire manufacturing, various solvent solutions, specialized phenols, polyamide derivatives, and innovative, sustainable yarns and polymers. The Solutions division focuses on bespoke chemicals for agriculture, home and personal care, coatings, and general industrial markets. It develops technological solutions in areas such as specialty mining reagents, phosphine-based chemistry, and polymer stabilization. This segment also provides fluorine and rare-earth formulations for the automotive, electronics, agrochemical, and construction industries, along with vanillin for the flavor and fragrance sector, and synthetic intermediates for pharmaceutical, agrochemical, and electronics production. Furthermore, it supplies a range of upstream oilfield chemicals—including friction reducers, gelling agents, emulsion breakers, surfactants, inhibitors, cementing additives, and biocides—and sodium hypophosphite for metal plating and other uses. The Corporate & Business Services division is responsible for providing energy and various other essential business support functions. Founded in 1863, Solvay S.A. maintains its headquarters in Brussels, Belgium.

                      Solvay (SLVYY) Earnings & Revenues

                      SLVYY Company Deck

                      SLVYY Earnings Call

                      Q1 2026
                      0:00 / 0:00
                      Earnings Call Sentiment|Neutral
                      The call presented a mixed but balanced picture: the company demonstrated strong cash generation (EUR 350m FCF), meaningful structural savings (EUR 101m in 2025, cumulative EUR 211m), solid progress on decarbonization (Scope 1/2 emissions down 29% vs 2021) and continued selective strategic investments and social achievements. However, these positives were offset by notable near-term commercial and earnings headwinds — sales down 6%, volumes down 4%, underlying EBITDA down 13% to EUR 881m, high transformation and provision cash outs (approx. EUR 260m), and challenging markets for Soda Ash and Coatis driven by China overcapacity and tariffs. Management has set a more conservative 2026 EBITDA guidance (EUR 770–850m) and emphasized temporary stranded costs and ERP investments that will weigh on near-term performance, while retaining focus on cost control, cash and long-term competitiveness.View all SLVYY earnings summaries
                      Similar Stocks
                      Company
                      Price & Change
                      Follow
                      Celanese
                      Braskem SA
                      Huntsman
                      TRONOX
                      Dow Inc

                      Ownership Overview

                      <0.01%100.00%
                      Insiders
                      Mutual Funds
                      <0.01% Other Institutional Investors
                      100.00% Public Companies and
                      Individual Investors

                      Options Prices

                      Currently, No data available
                      ---
                      Popular Stocks