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Avient Corporation

NYSE•AVNT
CEO: Dr. Ashish K. Khandpur Ph.D.
Sector: Basic Materials
Industry: Chemicals - Specialty
Listing Date: 1999-09-13
Avient Corporation operates as a formulator of material solutions in the United States, Canada, Mexico, Europe, South America, and Asia. It operates in two segments, Color, Additives and Inks; and Specialty Engineered Materials. The Color, Additives and Inks segment offers custom color and additive concentrates in solid and liquid form for thermoplastics, dispersions for thermosets, and specialty inks; custom-formulated liquid system, such as polyester, vinyl, natural rubber and latex, polyurethane, and silicone; and proprietary inks. Its products are used in medical and pharmaceutical devices, food packaging, personal care and cosmetics, transportation, building products, wire and cable, recreational and athletic apparel, construction and filtration, outdoor furniture, healthcare, textiles and appliances, and industrial markets. The Specialty Engineered Materials segment provides specialty polymer formulations, services, and solutions for designers, assemblers, and processors of thermoplastic materials. It sells its products through direct sales personnel, distributors, and commissioned sales agents. The company was formerly known as PolyOne Corporation and changed its name to Avient Corporation in June 2020. Avient Corporation was founded in 1885 and is headquartered in Avon Lake, Ohio.
Contact Information
33587 Walker Road, Avon Lake, OH, 44012, United States
440-930-1000
www.avient.com
Market Cap
$3.14B
P/E (TTM)
38.3
28.2
Dividend Yield
3.2%
52W High
$44.85
52W Low
$27.48
52W Range
39%
Rank50Top 68.9%
3.1
F-Score
Modified Piotroski Analysis
Based on 10-year fundamentals
Weak • 3.1 / 9 points
Scoring Range (0-9)
8-9: Excellent Value
6-7: Strong Fundamentals
4-5: Average Quality
0-3: Weak Performance
Data Period: 2016-2025

Financial Dashboard

Q4 2025 Data

Revenue

$760.60M+0.00%
4-Quarter Trend

EPS

$0.18+0.00%
4-Quarter Trend

FCF

$125.40M+0.00%
4-Quarter Trend

2025 Annual Earnings Highlights

Key Highlights

Total Sales Slightly Increased Total Sales reached $3.26B USD, up 0.6% in 2025; Specialty Engineered Materials sales grew 2.9% to $1.23B USD.
Net Income Halved Net Income attributable to shareholders fell 51.7% to $81.9M USD; Diluted EPS dropped to $0.89 USD from $1.84 USD.
Operating Income Declined Sharply Operating Income decreased 38.2% to $203.5M USD, driven by higher Selling and administrative expenses of $812.1M USD.
Debt Refinancing Benefits Interest Interest expense net decreased $7.0M USD due to $150.0M USD prepayments on senior secured term loan during 2025.

Risk Factors

Gross Margin Pressured by Costs Gross Margin fell to 31.2% from 32.6% due to $22.2M USD restructuring charges and increased operating costs.
Significant S/4HANA Impairment Recognized $71.6M USD non-cash impairment charge for ceasing S/4HANA development, increasing SG&A expenses significantly.
Global Operating and Trade Risks International sales are 61% of total, subject to currency volatility, tariffs, supply chain disruptions, and geopolitical risks.
Environmental Remediation Liability Environmental accrued liability stands at $141.2M USD, primarily related to Calvert City site remediation costs.

Outlook

Strategy Focus on Growth Vectors Growth vector sales, led by Defense and Healthcare, are outpacing overall Company sales performance implementation.
Capital Investment Planned Capital expenditures estimated at $140M USD for 2026, supporting organic sales growth and other strategic investments.
Innovation Investment Maintained Product Research and Development investment totaled $96.7M USD in 2025, supporting the 'Amplify Innovation' driver.
Strong Liquidity Position Total liquidity available is $1.00B USD as of year-end 2025, supporting operations and debt service obligations.

Peer Comparison

Revenue (TTM)

OLN stock ticker logoOLN
$6.78B
+3.7%
AVTR stock ticker logoAVTR
$6.55B
-3.4%
AXTA stock ticker logoAXTA
$5.12B
-3.0%

Gross Margin (Latest Quarter)

PRM stock ticker logoPRM
59.9%
-4.5pp
WDFC stock ticker logoWDFC
56.2%
+1.4pp
ESI stock ticker logoESI
40.9%
+0.7pp

Key Metrics

Symbol
Market Cap
P/E (TTM)
ROE (TTM)
Debt to Assets
ESI$7.55B39.37.3%31.9%
AXTA$5.89B15.616.9%44.6%
BCPC$5.47B35.312.3%11.2%

Long-Term Trends

Last 4 Quarters
Revenue
Net Income
Operating Cash Flow
4Q Revenue CAGR
-2.7%
Flat Growth
4Q Net Income CAGR
N/M
Profitability Shift
Cash Flow Stability
75%
Volatile Cash Flow

Deep Research

Next earnings:May 4, 2026
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EPS:-
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News
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LTM
No Data