--- title: "Mativ Holdings, Inc. (MATV.US)" type: "quote" locale: "en" url: "https://longbridge.com/en/quote/MATV.US.md" symbol: "MATV.US" name: "Mativ Holdings, Inc." industry: "工业化学品" --- # Mativ Holdings, Inc. (MATV.US) | Item | Detail | |------|--------| | Industry | 工业化学品 | | Location | 美股市场 | | Website | [www.mativ.com](https://www.mativ.com) | ## Company Profile Mativ Holdings, Inc.及其子公司在美国、欧洲、亚太地区、美洲及国际市场制造和销售特种材料。该公司通过两个部门运营,分别是过滤与先进材料和可持续与粘合解决方案。过滤与先进材料部门制造和销售各种工程聚合物、树脂和基于纤维的基材、网、薄膜、粘合带以及其他非织造材料,主要用于过滤、工业网和保护解决方案的终端市场。可持续与粘合解决方案部门提供包括建筑和施工、基础设施、DIY、运动和工业应用中使用的粘合带基材的胶带、标签和衬垫;以及在个人护理、标签、胶带、工业、图形艺术、复合材料和医疗类别中对保护和粘合分离应用至关重要的基材,以及性能标签和电缆包裹材料 ## Financial Score > *Longbridge Financial Score™ — Proprietary multi-factor rating model by [Longbridge](https://longbridge.com). This score is independently calculated by Longbridge and is not affiliated with any third-party rating agency.* > Updated: 2026-02-17T04:30:10.000Z **Overall: D (0.66)** **Industry**: Commodity Chemicals | Metric | Value | |--------|-------| | Industry Ranking | 24 / 28 | | Industry Median | C | | Industry Average | C | - **Style**: Value - Stocks where the company's main business is in a mature stage. - **Scale**: Mid - The company has stable operation of a large-cap stock and the high return of a small-cap stock. ### Score Analysis **Style Score**: #### Growth Score: | Indicator | Value | Rating | |-----------|-------|--------| | Revenue YoY | 0.39% | | | Net Profit YoY | -507.46% | | #### Value Score: | Indicator | Value | Rating | |-----------|-------|--------| | P/B Ratio | 2.03 | | | Dividend Ratio | 2.71% | | **Size Score**: #### Market Cap Score: | Indicator | Value | Rating | |-----------|-------|--------| | Market Cap | 808.19M | | #### Revenue Score: | Indicator | Value | Rating | |-----------|-------|--------| | Revenue | 1.98B | | **Multi Score**: D #### Profit Score: E | Indicator | Value | Rating | |-----------|-------|--------| | ROE | -68.33% | E | | Profit Margin | -22.03% | E | | Gross Margin | 19.35% | D | #### Growth Score: D | Indicator | Value | Rating | |-----------|-------|--------| | Revenue YoY | 0.39% | C | | Net Profit YoY | -507.46% | E | | Total Assets YoY | -23.70% | E | | Net Assets YoY | -54.96% | E | #### Cash Score: D | Indicator | Value | Rating | |-----------|-------|--------| | Cash Flow Margin | -453.45% | E | | OCF YoY | 0.39% | C | #### Operating Score: B | Indicator | Value | Rating | |-----------|-------|--------| | Turnover | 0.86 | B | #### Debt Score: E | Indicator | Value | Rating | |-----------|-------|--------| | Gearing Ratio | 80.14% | E | ```chart-data:radar { "title": "Longbridge Financial Score - Mativ Holdings, Inc.", "chart_type": "radar", "dimensions": [ { "name": "Profit", "grade": "E", "indicators": [ { "name": "ROE", "value": "-68.33%", "rating": "E" }, { "name": "Profit Margin", "value": "-22.03%", "rating": "E" }, { "name": "Gross Margin", "value": "19.35%", "rating": "D" } ] }, { "name": "Growth", "grade": "D", "indicators": [ { "name": "Revenue YoY", "value": "0.39%", "rating": "C" }, { "name": "Net Profit YoY", "value": "-507.46%", "rating": "E" }, { "name": "Total Assets YoY", "value": "-23.70%", "rating": "E" }, { "name": "Net Assets YoY", "value": "-54.96%", "rating": "E" } ] }, { "name": "Cash", "grade": "D", "indicators": [ { "name": "Cash Flow Margin", "value": "-453.45%", "rating": "E" }, { "name": "OCF YoY", "value": "0.39%", "rating": "C" } ] }, { "name": "Operating", "grade": "B", "indicators": [ { "name": "Turnover", "value": "0.86", "rating": "B" } ] }, { "name": "Security", "grade": "E", "indicators": [ { "name": "Gearing Ratio", "value": "80.14%", "rating": "E" } ] } ] } ``` ### Peer Comparison | Rank | Name | Profit | Growth | Operation | Security | Cash | Rating | |------|------|--------|--------|-----------|----------|------|--------| | 01 | 霍金斯材料 (US.HWKN) | B | B | A | C | B | B | | 02 | Westlake Chemical Partners LP (US.WLKP) | B | D | B | B | B | B | | 03 | Loop Industries (US.LOOP) | B | A | A | E | B | B | | 04 | 利安德巴塞尔工业 (US.LYB) | D | D | A | D | D | C | | 05 | 旭化成(ADR) (US.AHKSY) | C | B | B | C | B | C | ## Valuation Analysis | Metric | Current | Industry Ranking | High | Median | Low | |--------|---------|-----------------|------|--------|-----| | PE (TTM) | -1.85 | 17/30 | - | - | - | | PB | 2.03 | 19/30 | 1.69 | 1.37 | 0.46 | | PS (TTM) | 0.41 | 10/30 | 0.34 | 0.29 | 0.17 | | Dividend Yield | 2.71% | 9/30 | 6.36% | 3.84% | 3.22% | ## Institutional View ### Analyst Rating Distribution > As of 2026-02-16T05:00:00.000Z Total Analysts: **2** | Rating | Count | Percentage | |--------|-------|-----------| | Buy | 1 | 50% | | Overweight | 0 | 0% | | Hold | 0 | 0% | | Underweight | 0 | 0% | | Sell | 0 | 0% | ### Target Price Forecast | Metric | Price | |--------|-------| | Current Price | 13.88 | | Highest Target | 21.00 | | Lowest Target | 15.50 | ## References - [Company Overview](https://longbridge.com/en/quote/MATV.US/overview.md) - Shareholders, executives, business segments - [Financials](https://longbridge.com/en/quote/MATV.US/norm.md) - Income statement, balance sheet, cash flow, distribution plan - [Topics & Discussions](https://longbridge.com/en/quote/MATV.US/topics.md) - Community topics and discussions --- > **Disclaimer**: This article is for reference only and does not constitute any investment advice.