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Mativ Holdings, Inc. functions as a specialized enterprise dedicated to high-performance materials. The company's operations are divided into two main segments: Advanced Materials & Structures (AMS) and Engineered Papers (EP). The AMS division focuses on producing a diverse range of resin-based rolled goods, such as nets, films, and meltblown materials.
Detailed revenue, brand and relationship research has not yet been completed for MATV.
Wall Street Score
Overall investment score · Quality, value, risk and opportunity
51
Fair
PoorElite
View category scores →
Company Quality
How good is the actual business—regardless of today’s stock price?
33
Poor
Financial Strength
59
Business Quality / Moat
13
Management
45
Growth Quality
18
Risk / Durability
6
Cheap for a Reason · Review the Risks
Uses financial strength, moat, management, growth quality and durability. It excludes share price, P/E, market cap, intrinsic value and margin of safety.
Opportunity
Opportunity Score · How does the current price compare with estimated value?
68
Fully Valued
Based on current valuation, company quality, recent trends, and available market signals.
View score details →
Model Outlook
12-month model · What does the model think happens next?
59/100
Building Historical Record
Model Score 59/100 — estimates relative performance potential, distinct from the overall Wall Street Score and the separate Company Quality score.
Probability unavailable — the model has not produced a calibrated probability yet.
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WSS View
The quick read
The overall Wall Street Score is mixed across its combined quality, valuation and risk inputs. Review the category scores to identify what is helping or hurting the result.
At today’s price, the WSS valuation framework currently reads as moderate rather than unusually attractive.
The model outlook is currently moderate.
What we like
•Balance-sheet / debt profile scores strongly
•Valuation scores attractively
•Recent buyback activity is present
What to watch
•Debt service risk
•Revenue fundamentals are weak
Company-specific research
Questions worth answering for MATV
Research inputs 100% complete
These questions are generated from this company's current financial and score data so the page adds context instead of treating the headline score as a stand-alone conclusion.
•Can MATV maintain its current revenue growth rate and improve the amount of that revenue that turns into earnings and cash?
•Is MATV's positive free cash flow repeatable, or is the current level being helped by temporary working-capital or spending changes?
•Is MATV's debt load manageable relative to cash generation, interest costs and upcoming maturities?
•Is MATV's valuation discount tied to a temporary concern or to a longer-term business risk?
Two different market-behavior signals. Momentum measures direction and trend strength. Volatility measures how large and unstable the price moves are, regardless of direction.
A high momentum score means price has been trending upward with confirming short- and medium-term strength. A low score means downward or weakening momentum.
Volatility = How violently is it moving?
A high volatility score means larger, less stable price swings. It can happen while a stock is rising or falling, so high volatility is not automatically bullish or bearish.
Important: the volatility score above is based on realized price volatility. Implied volatility (IV) comes from options prices and represents the market's expected future movement. Wall Street Score will keep IV separate and will only display it when a verified options-chain feed is available.
Notices for MATV
Detected from reported data — verify before acting.
Dividend history reported
Dividend payments are recorded. Review the dates and regular/special classification below; past payments do not guarantee future dividends.
Historical repurchase activity
Reported cash flows or share-count measures indicate past repurchase activity. This does not verify an active buyback authorization or future purchases.
Debt service risk
Interest coverage is low (~0.7x). Earnings may be strained to cover interest expense.
Community Sentiment
0 active · 0 total calls
0% Bullish (0) 0% Bearish (0)
No personal call yet on MATV.
Potential upside factors
+Positive free cash flow may provide capacity to invest in growth.
Potential downside factors
No strong bearish data point is currently available.
These research factors come from saved company research and financial data, not community votes. They are starting points to verify against filings, not buy or sell recommendations.
Create a free account to make a call.
Scores
Click any score for full breakdown
Wall Street Score
Fair51/ 100
Weak (0–50)Fair (51–71)Strong (72+)
Debt
Strong
71
Debt Cost6.3%
Debt Reduction YoY2.6%
Debt / Equity2.25x
Tap for breakdown →
Revenue
Poor
35
Revenue YoY0.1%
Revenue CAGR-1.0%
Net Margin4.5%
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Asset
Fair
54
Asset Growth YoY-16.2%
Liquidation/Share$8.62
Net Assets/MCap1.44x
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Capital
Fair
68
Earnings Yield13.5%
Buyback Yield0.7%
Debt Cost6.3%
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Management
Weak
45
ROIC3.3%
ROE19.0%
ROA4.5%
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Moat
Poor
13
EPS Growth—
FCF/Share Growth16.8%
Rev/Share Growth0.7%
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Valuation
Elite
100
Intrinsic Value$35.56
Value Reference$21.34
MOS0.7%
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Buffett
Fair
52
Revenue35
Moat13
Valuation100
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MOS
Elite
100
MOS %0.7%
Value Reference$21.34
Deep Discount Reference$14.23
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Financial
Poor
13
Interest Coverage0.7x
ROIC3.3%
FCF Yield14.2%
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Master
Weak
44
Financial13
Valuation100
Debt71
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Resilience
Poor
32
Survival Years0.5 yrs
Current Ratio2.24x
FCF Margin0.0%
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Score Changes
3 historical score records available
Previous Score
52
Oct 1, 2026
Change
-0.9
points
Current Score
51
Oct 5, 2026
Category Changes
Revenue-0.5
Debt0
Assets-0.8
Capital-2.0
Management0
Moat0
Valuation0
Buffett-0.2
MATV decreased 0.9 points because Capital declined by 2 points.
Negative Contributors
− Capital declined by 2 points
Projected Score
Projected Score
49
Projected Change
-1.8%
Preliminary comparable-period financial changes suggest decline of approximately 1.8 points. This is a projected estimate, not the official WallStreetScore.
Price vs. Value
Review model assumptions
This model estimate is more than three times the share price.
This is a formula-based estimate, not a verified fair value or price target. Check the earnings and growth assumptions.
Monetary values in USD. Share counts in raw units.
Income StatementBalance SheetCash Flow
AnnualQuarterlyTTM + Annual
All rows
Free includes 3 annual periods plus available TTM; Premium includes up to 10 annual periods. History depends on available company filings. Swipe the table horizontally to see older periods. A dash means unavailable, not zero.
Line Item
TTM
2025
2024
2023
2022
2021
2020
2019
2018
2017
2016
Revenue
$1.99B
$1.99B
$1.98B
$2.03B
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Cost of Revenue
$1.64B
$1.69B
$1.62B
$1.67B
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Gross Profit
$352.9M
$299.7M
$364.1M
$355.8M
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····
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Research & Development
$21.0M
$23.6M
$23.0M
$21.2M
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SG&A Expenses
$219.6M
$228.7M
$233.8M
$263.9M
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····
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Operating Expenses
$281.2M
$252.3M
$357.8M
$769.7M
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EBITDA
$159.1M
-$249.5M
$139.6M
-$270.9M
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Operating Income
$71.7M
$47.4M
$6.3M
-$413.9M
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Interest Expense
$71.5M
$71.1M
$74.7M
$62.2M
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····
····
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Income Before Tax
-$17.7M
-$463.0M
-$78.9M
-$480.9M
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Income Tax Expense
-$107.2M
-$125.6M
-$30.2M
$26.8M
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Net Income
$89.5M
-$337.4M
-$48.7M
-$309.5M
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Basic EPS
$1.63
$-6.19
$-0.90
$-5.69
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Basic Shares
55.12M
54.61M
54.31M
54.51M
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Diluted Shares
55.68M
54.61M
54.31M
54.51M
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Upgrade to Premium for up to 10 annual periods, where available.
Debt and cash show percentage changes versus the comparison period; margin shows the change in percentage points (pp). These are company-wide changes, not per-share amounts.
Financial Changes Since Prior Period
What Improved
Margins expanded
Debt reduced
What Weakened
Cash position declined
Potential Score Impact
Positive indicators included revenue growth, debt levels, net income margin. Pressure indicators included EPS growth, cash levels. These factors may support or pressure the Revenue, Management, Financial, and Debt categories; this summary does not claim that the stored scores changed.
Stored Earnings Analysis
Revenue increased 1.2%. EPS declined 133.3%. Cash declined 30.6%. Total debt declined 10.9%. Net income margin improved by 2.5 percentage points.
Earnings-Call Transcript
Earnings-call transcript analysis is not currently available.
These results may influence future scores when the next evaluation is completed.
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Government disclosed trading activity is available on the Smart Money directory. Filings may be delayed and may not represent complete current holdings.
Dividend HistoryShare
Dividend History
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Predictions & Historical PerformanceShare
Conservative Projected Values
3 Years
$———.——
Premium
5 Years
$———.——
Premium
10 Years
$———.——
Premium
Conservative Projection Rate
——%
Premium
Conservative Projected Values — price projections derived from actual 10-year adjusted historical returns, conservatively adjusted and capped at 8% annually. These are distinct from the Outperformance Model Score and WallStreetScore.
Conservative Projected Values
Premium unlocks the 3-year, 5-year, and 10-year conservative projected values with full calculation breakdowns based on actual historical returns.