Huntsman Corporation
NYSE•HUN
CEO: Mr. Peter R. Huntsman
Sector: Basic Materials
Industry: Chemicals
Listing Date: 2005-02-14
Huntsman Corporation manufactures and sells diversified organic chemical products worldwide. The company operates in three segments: Polyurethanes, Performance Products, and Advanced Materials. The Polyurethanes segment offers polyurethane chemicals, including methyl diphenyl diisocyanate, polyether and polyester polyols, and thermoplastic polyurethane; and aniline, benzene, nitrobenzene and other co-products. The Performance Products segment manufactures amines, such as polyetheramines, ethyleneamines, DGA Agent, JEFFCAT catalysts, and E-GRADE specialty amines and carbonates; and maleic anhydrides. The Advanced Materials segment offers epoxy, phenoxy, acrylic, polyurethane, and acrylonitrile-butadiene-based polymer formulations; and thermoset resins, curing and toughening agents, and carbon nanomaterials. The company provides pre-and post-sales technical service support to customers. Its products are used in a range of applications, including adhesives, aerospace, automotive, construction products, durable and non-durable consumer products, electronics, insulation, packaging, coatings and construction, power generation, and refining, as well as serves the elastomers, insulation, footwear, furniture, industrial, oil and gas, liquid natural gas transport, printed circuit boards, consumer, appliances, electrical power transmission and distribution, recreational sports equipment, and medical appliances markets. The company sells its products through a network of distributors and agents. Huntsman Corporation was founded in 1970 and is headquartered in The Woodlands, Texas.
Contact Information
10003 Woodloch Forest Drive, Waterway 1, The Woodlands, TX, 77380, United States
281-719-6000
Market Cap
$2.36B
P/E (TTM)
-8.3
1.4
Dividend Yield
5.0%
52W High
$14.38
52W Low
$7.30
52W Range
Rank30Top 19.5%
5.1
F-Score
Modified Piotroski Analysis
Based on 10-year fundamentals
Average • 5.1 / 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
$1.36B+0.00%
4-Quarter Trend
EPS
-$0.56+0.00%
4-Quarter Trend
FCF
$19.00M+0.00%
4-Quarter Trend
2025 Annual Earnings Highlights
Key Highlights
Revenue Decline Across Segments Total revenues fell 6% to $5.68B USD in 2025; Polyurethanes revenue dropped 5% due to lower selling prices.
Adjusted EBITDA Contracted Sharply Adjusted EBITDA decreased 34% to $275M USD; Polyurethanes segment saw a 40% decline in profitability.
Operating Loss Widened Significantly Operating loss increased to ($131M) USD from ($25M) USD loss in 2024, reflecting margin pressure across units.
Cash Flow From Operations Up Net cash from operating activities improved 5% to $298M USD, supporting free cash flow growth to $125M USD.
Risk Factors
Global Economic Volatility Risks Industry affected by volatile economic conditions, inflation, and elevated interest rates potentially decreasing product demand.
Raw Material Supply Chain Risks Reliance on third-party suppliers for key feedstocks like benzene and PO creates potential for cost increases or supply interruptions.
EHS Regulatory Compliance Costs Increasing environmental regulations, including GHG rules, may require capital expenditures and increase operational costs.
Production Shutdown Impact Serious disruptions at manufacturing facilities could impair ability to use capacity, increasing costs and reducing revenues.
Outlook
Focus on Differentiated Offerings Strategy emphasizes growing differentiated product portfolio requiring greater formulation capability and technical solutions.
2026 Capital Expenditure Stable Expect capital expenditure spend in 2026 to approximate 2025 levels, funded by cash provided by operations.
Liquidity Secured Through Credit Facility New $800M secured revolving credit facility established in February 2026, replacing the 2022 facility.
Dividend Policy Adjusted Downward Board declared $0.0875 per share cash dividend, representing a 65% decrease from previous payment.
Peer Comparison
Revenue (TTM)
$12.40B
$5.81B
$5.68B
Gross Margin (Latest Quarter)
60.9%
50.9%
27.7%
Key Metrics
Symbol | Market Cap | P/E (TTM) | ROE (TTM) | Debt to Assets |
|---|---|---|---|---|
| SIM | $5.13B | 24.3 | 6.1% | 0.0% |
| CC | $3.44B | -8.9 | -113.2% | 62.1% |
| SVM | $2.74B | -161.4 | -2.4% | 8.4% |
Long-Term Trends
Last 4 Quarters
Revenue
Net Income
Operating Cash Flow
4Q Revenue CAGR
-1.3%
Flat Growth
4Q Net Income CAGR
N/M
Profitability Shift
Cash Flow Stability
75%
Volatile Cash Flow
Deep Research
Next earnings:Apr 29, 2026
EPS:-
|Revenue:-
Financials
Earnings Calls
Reports
News
Income Statement
Balance Sheet
Cash Flow Statement
Ratios
% Chg.
Income Statement | LTM |
|---|
No Data