Huntsman Corporation HUN

8.90 0.11 1.25% as of 25 Sep
Market cap
$1.5B
P/E
0.0×
Insider Buys alert about insiders buying in the last 12 month

Insider Decisions

Total buys 1.22
in millions of $
Nov 25 Feb 26 May 26 Aug 26
Buy — 1 — — — — — — — — 1 —
Sell — — — — — — — — — — — —
Insider Ownership 4.93%

Capital & Financial Ratios

Market Cap 1,540.00
Revenue 5,898.00
Net Income (127.00)
Free Cash Flow (9.00)
Net Debt 1,741.00
Current Ratio 1.33
Debt/Equity 0.71
P/E ratio 0.00
P/S ratio 0.26
P/B ratio 0.53
Past 5Y EPS Growth (29.00%)
This Y EPS Growth 66.56%
Next Y EPS Growth 141.60%
Next 5Y EPS Growth 46.84%
in millions of $

Dividends

Payout Ratio 1.80
Annual Dividend Rate 0.95
Annual Dividend Yield 3.94%
total individual payouts
2028 Powerpack
2027 Powerpack
2026 0.35
0.09
0.09
0.09
2025 0.84
0.25
0.25
0.25
0.09
2024 1.00
0.25
0.25
0.25
0.25
2023 0.95
0.24
0.24
0.24
0.24
2022 0.85
0.21
0.21
0.21
0.21
2021 0.73
0.16
0.19
0.19
0.19
2020 0.65
0.16
0.16
0.16
0.16
2019 0.65
0.16
0.16
0.16
0.16
2018 0.65
0.16
0.16
0.16
0.16
2017 0.50
0.13
0.13
0.13
0.13
2016 0.50
0.13
0.13
0.13
0.13
predictions in italic, special payouts not included in total or ratios

Assets vs Liabilities

2023 2024 2025 Q'26
Cash 540 340 429 346
Receivables 753 725 677 880
Inventory 867 917 818 935
Other 62 29 46 38
2,314 2,125 2,064 2,278
2023 2024 2025 Q'26
Payables 719 770 721 886
ST’ Debt 12 325 353 364
Other — — — —
1,172 1,565 1,589 1,719
in millions of $

Compound Annual Growth

10y 5y 3y
Sales (3.53%) 0.95% (10.86%)
Cash Flow (6.65%) 2.70% (31.87%)
Earnings 0.00% 0.00% 0.00%
Book Value 6.14% (4.24%) (8.34%)

Revenue

Mar Jun Sep Dec Year
’26 1,420 1,663 — — —
’25 1,410 1,458 1,460 1,355 5,683
’24 1,470 1,574 1,540 1,452 6,036
’23 1,606 1,596 1,506 1,403 6,111
’22 2,192 2,170 2,011 1,650 8,023
’21 1,837 2,024 2,097 1,712 7,670
’20 1,593 1,247 1,510 1,071 5,421
in millions of $ · fiscal quarters ending in the months shown

Operating Cash Flow

Mar Jun Sep Dec Year
’26 (53) (60) — — —
’25 (74) 91 196 76 289
’24 (65) 46 129 153 263
’23 (154) 36 163 164 209
’22 85 231 288 310 914
’21 (17) (7) 186 790 952
’20 (75) 80 83 165 253
in millions of $ · fiscal quarters ending in the months shown

Free Cash Flow

Mar Jun Sep Dec Year
’26 (91) (90) — — —
’25 (110) 54 153 19 116
’24 (107) (4) 88 113 90
’23 (200) (15) 113 81 (21)
’22 21 166 231 224 642
’21 (115) (83) 119 705 626
’20 (136) 25 29 173 91
in millions of $ · fiscal quarters ending in the months shown

EPS

Mar Jun Sep Dec Year
’26 (0.31) (0.03) — — —
’25 (0.03) (0.91) (0.14) (0.56) (1.65)
’24 (0.22) 0.13 (0.19) (0.82) (1.10)
’23 0.83 0.11 0.00 (0.41) 0.57
’22 1.04 1.10 0.50 (0.48) 2.27
’21 0.37 0.70 0.94 2.73 4.72
’20 3.16 (0.28) 0.22 1.54 4.66
fiscal quarters ending in the months shown

Target Price Range

Analyst price targets

Recommendation Rating

2.7
1Buy 2 3Hold 4 5Sell
2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028
7.46 18.93 17.58 17.33 12.23 24.10 23.54 22.14 17.41 7.30

Analyst estimates 2026–2028

Powerpack
Low Price
20.53 33.79 36.09 25.66 26.58 35.55 41.65 33.46 27.01 18.53
High Price
15,000 10,000 10,000 10,000 9,000 9,000 7,000 6,000 6,300 6,000
Employees
1 1 1 1 1 1 1 1 1 1
Revenue/Emp
7,518 6,845 7,604 6,797 5,421 7,670 8,023 6,111 6,036 5,683
Revenue
20.19% 24.12% 23.20% 20.33% 18.02% 20.65% 19.27% 14.83% 14.35% 13.21%
Gross Margin
474 531 734 391 331 1,246 697 99 (39) (192)
EBT
6.30% 7.76% 9.65% 5.75% 6.11% 16.25% 8.69% 1.62% (0.65%) (3.38%)
EBT Margin
357 741 650 598 1,066 1,104 523 153 (127) (227)
Net Income
318 236 255 270 267 278 281 278 289 287
Depreciation
31.82 28.71 31.94 29.69 24.57 34.99 39.92 34.45 35.07 32.93
Revenue/Sh
1.38 2.67 1.42 2.46 4.69 4.77 2.29 0.57 (1.10) (1.65)
Earnings/Sh
4.60 5.11 5.07 3.92 1.15 4.34 4.55 1.18 1.53 1.67
Cash Flow/Sh
(1.35) (0.98) (1.05) (0.98) (0.73) (1.49) (1.35) (1.30) (1.01) (1.00)
Capex/Sh
3.26 4.13 4.02 2.94 0.41 2.86 3.19 (0.12) 0.52 0.67
Free CF/Sh
6.21 14.14 11.55 12.34 16.65 20.80 19.10 19.61 18.38 17.13
Book Value/Sh
236 238 238 229 221 219 201 177 172 173
Shares
13.96 12.81 14.08 9.78 5.39 7.27 12.69 46.61 0.00 0.00
PE Ratio
0.61 1.19 0.60 0.81 1.02 1.00 0.70 0.73 0.51 0.30
PS Ratio
3.10 2.42 1.67 1.96 1.51 1.68 1.45 1.28 0.98 0.58
PB Ratio
1.11 1.46 0.86 1.09 1.12 1.06 0.83 0.92 0.76 0.58
EV/Sales
10.82 10.12 6.88 10.99 66.75 13.03 10.39 (267.29) 51.09 28.52
EV/FCF
1,088 1,219 1,207 897 253 952 914 209 263 289
Op' Cash Flow
(318) (234) (251) (224) (162) (326) (272) (230) (173) (173)
Capex
770 985 956 673 91 626 642 (21) 90 116
FCF
1,777 2,714 1,347 1,747 1,589 1,877 1,444 1,142 560 475
Working Cap'
4,173 2,298 2,320 2,389 2,121 1,550 1,737 1,688 1,835 2,011
Total Debt
3,777 1,817 1,980 1,864 528 509 1,083 1,148 1,495 1,582
Net Debt
1,467 3,371 2,749 2,824 3,673 4,559 3,840 3,478 3,163 2,957
Sh' Equity
3.43% 6.55% 3.70% 6.91% 12.14% 11.54% 5.22% 1.31% (2.63%) (4.02%)
ROA
7.90% 8.78% 10.93% 6.25% 6.43% 9.01% 8.53% 1.13% (0.34%) (1.80%)
ROIC
21.06% 26.29% 11.01% 20.17% 31.83% 25.39% 10.95% 2.76% (5.69%) (9.28%)
ROE
predictions in italic, sparklines do not include predictions

All 10 years →

Fiscal years to Dec 2025 · latest quarter Jun 2026

Huntsman Corporation (HUN) key facts

  • Huntsman Corporation (HUN) is a Chemicals company in the Basic Materials sector, listed on the New York Stock Exchange.
  • Huntsman Corporation’s revenue for fiscal 2025 (year ended December 2025) was $5.7 billion, down 5.85% from fiscal 2024.
  • As of September 25, 2026, HUN traded at $8.90, a market capitalization of $1.5 billion.
  • Huntsman Corporation pays an annual dividend of $0.95 per share, a yield of 3.94%, with a payout ratio of 180.0%.
  • Return on equity was −9.28% and debt-to-equity 0.71.

Source: company filings (standardised) and stockrow calculations.

Huntsman Corporation (HUN) Latest News

News by impact score

Fine-tune

21 Sep

3

Huntsman (HUN) trades around $9.09 after a rough run, down ~9% in the past month and ~20% over 3 months; 7-day return -2.3%, YTD -10.8%, and 5-year TSR -60%. The stock sits near recent lows as expectations reset. The narrative frames Huntsman as about 23% undervalued, with a fair value near $11.82, driven by a portfolio shift from low-margin commodity chemicals to specialty products (adhesives, elastomers, aerospace composites) and ongoing cost optimization, working-capital discipline, and asset closures (including a European maleic anhydride facility) to lift free cash flow and margins in the next cycle. Yet, the bear case persists: weak construction/housing demand and intense European competition could restrain pricing power and profitability. A separate view from SWS’s DCF places fair value around $7.79, offering less margin of safety than the undervalued narrative. Overall, investors are split; further data and macro signals will shape a potential entry. Strategic portfolio shift and cost optimization could improve margins, but macro headwinds and mixed fair-value signals temper upside.

14 Sep

4

Olin and Huntsman merger of equals clears U.S. antitrust hurdle. Antitrust clearance advances merger of equals that will reshape Huntsman operations and market position.

11 Sep

4

OLIN and Huntsman announced expiration of the Hart-Scott-Rodino waiting period for their proposed merger. Clearance of Hart-Scott-Rodino waiting period marks regulatory progress on a major merger that can reshape Huntsman's operations and market position.

27 Aug

5

Huntsman stockholders approved Olin merger agreement at special meeting. Merger approval triggers major strategic shift that redefines Huntsman structure and long-term prospects.

26 Aug

5

Shareholders approved an all-stock merger of equals between Olin and Huntsman Corporation. All-stock merger of equals approval by shareholders triggers full corporate restructuring and combined operations for Huntsman.

25 Aug

5

OLIN and Huntsman shareholders approve transformative merger of equals. Shareholder approval of the transformative OLIN merger will fundamentally redefine Huntsman's corporate structure and competitive position.

11 Aug

3

KOP Q2 earnings and revenues topped estimates on PC unit strength. Earnings beat signals moderately positive financial performance influence on Huntsman.

6 Aug

3

Huntsman reports narrower Q2 loss with sales beating estimates on higher volumes. Q2 earnings beat signals improved volumes that may lift near-term financial perception.

5 Aug

3

Huntsman CEO Peter Huntsman purchased 100,000 shares for $981,000, prompting questions on implications for the planned merger with Olin. CEO share purchase provides moderate positive signal on merger outlook without altering core operations.

2 Aug

4

Huntsman Corporation weighs dividend continuity against a potential merger with Olin to overhaul its specialty chemicals operations and strategy. Merger talks with Olin plus dividend policy represent major strategic moves likely to shift Huntsman's market trajectory.

1 Aug

3

Huntsman reported strong Q2 revenue growth while its valuation relative to fair value remains in question. Revenue growth points to improved financial results that may lift near-term sentiment without guaranteeing structural change.

31 Jul

3 transcript

Huntsman Q2 earnings call highlighted financial results, segment performances, and management commentary on market conditions and outlook. Q2 earnings details provide moderate insight into financial health and near-term expectations for the company.

30 Jul

3

Huntsman (HUN) Q2 earnings are compared to estimates with analysis of key metrics. Q2 earnings metrics versus estimates may influence near-term investor views on financial performance but lack signals of major strategic shifts.

3

Huntsman Corporation announced its second quarter 2026 earnings. Quarterly earnings releases deliver financial results that can affect stock valuation and near-term investor sentiment.

14 Jul

4

OLIN and Huntsman announce S-4 registration statement for planned merger is now effective. Merger with OLIN marks major strategic move for Huntsman.

20 Jun

4

Olin agrees to merge with Huntsman as a probe into the fairness of the deal begins. Merger agreement marks a major strategic move likely to significantly alter Huntsman's trajectory despite the fairness probe.

17 Jun

5

Olin and Huntsman agree to merge, forming a $12.5 billion chemicals leader with combined operations. Merger with Olin creates $12.5 billion entity fundamentally altering Huntsman's competitive position.

16 Jun

5

Huntsman Corporation agreed to an acquisition valuing the company at a 13% discount to its market price. Acquisition ends Huntsman's independence and resets its valuation and strategic direction.

5

Olin and Huntsman announce merger to form chemicals company with over $12 billion in revenue. Merger with Olin creates $12 billion revenue chemicals company fundamentally redefining Huntsman's competitive position.

5

Huntsman and Olin complete an all-stock merger to confront global specialty chemicals challenges, with executives stating competition occurs more against countries than companies. All-stock merger with Olin fundamentally redefines Huntsman's scale, competitive positioning, and long-term trajectory in specialty chemicals.

5

Olin and Huntsman announce merger of equals creating $12+ billion integrated North American chemicals leader. Merger of equals with Olin creates $12+ billion chemicals leader and fundamentally redefines Huntsman's competitive position and long-term prospects.

8 May

3

Huntsman Corporation's Q1 earnings and sales exceeded analyst estimates, driven by higher volumes. Beating Q1 earnings and sales estimates on higher volumes boosts short-term financial outlook and investor sentiment without fundamentally altering long-term trajectory.

5 May

3

Huntsman Corporation (HUN) posted a wider Q1 loss amid ongoing challenges, but pricing and demand trends improved across segments, prompting a favorable valuation reassessment. Wider Q1 loss offset by improving pricing and demand trends moderately affects financial performance and investor sentiment.

3 May

3

Huntsman shareholders rejected a proposal for an independent board chair at the annual meeting as a Moody’s credit rating downgrade looms. Shareholder rejection of independent chair highlights governance issues while looming Moody’s downgrade risks higher borrowing costs and negative market sentiment.

2 May

4

Huntsman Corp (HUN) Q1 2026 earnings call highlights navigating price increases amid strong demand. Strong demand and price increases indicate significant positive shift in financial performance and market positioning.

1 May

4

Huntsman Corporation (HUN) released Q1 2026 earnings call summary detailing quarterly financial performance, operational updates, and forward guidance. Q1 2026 earnings summary provides critical financial results and outlook that significantly shape investor sentiment and stock trajectory.

3

Huntsman Corporation released highlights from its Q1 earnings call. Q1 earnings highlights influence financial performance and short-term market sentiment.

30 Apr

4

Huntsman Corporation (HUN) reported Q1 earnings, highlighting key metrics that provide insights into financial performance and operational health. Q1 earnings reports drive significant stock price movements and shape investor expectations for Huntsman's future performance.

4

Huntsman Corporation announced first quarter 2026 earnings, reporting key financial results including revenue, net income, EBITDA, and segment performance amid market conditions. Quarterly earnings releases significantly impact financial performance metrics and investor sentiment for Huntsman.

3

Huntsman (HUN) reported a Q1 net loss but beat revenue estimates. Quarterly loss despite revenue beat highlights moderate financial pressures balanced by top-line strength.

stockrow.com/HUN · Data as of Jun 30, 2026 · For information only; not investment advice. · © 2026 stockrow.com