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POLESTAR AUTOMOTIVE HOLDING UK PLC SPON ADS C-1 EACH RP 30 CL C ORD (R/S)

US · PSNYW #3542 by market cap
4.11 -0.07 -1.67%
Live - 5344 symbols - heartbeat 144s ago · 2026-10-09 20:02

✦ Quant Financial Health how this is computed

Weak
  • Altman Z-Score is -5.22, below the 1.8 "distress zone" threshold.
  • Most reliable for industrial/manufacturing companies; less meaningful for banks, insurers and other financials.

Revenue annual, last 7 years

Latest year +50.33% YoY

Margins

Gross margin
-35.44%
Operating margin
-64.96%
Net margin
-77.08%

Key ratios & quality

Altman Z-Score below ~1.8 suggests financial distress risk, above ~3.0 suggests low risk; the model is most reliable for industrial/manufacturing companies and less meaningful for banks and other financial firms.

Income statement

Line item 2019 2020 2021 2022 2023 2024 2025
Revenue 92.42M610.25M1.34B2.44B2.37B2.03B3.06B
Gross profit 52.63M56.52M11.06M101.12M-410.14M-876.17M-1.08B
Selling & admin expenses 210.57M314.93M686.96M840.15M944.18M838.98M813.85M
Research & development 34.39M183.85M234.02M174.92M157.28M38.35M77.64M
Operating profit -191.91M-442.97M-909.79M-911.99M-1.52B-1.78B-1.99B
Pretax profit -195.96M-471.32M-972.88M-449.26M-1.19B-2.06B-2.36B
Tax 2.02M13.54M-3.08M29.76M-9.45M-9.17M-3.69M
Net profit -197.98M-484.86M-969.81M-479.02M-1.18B-2.05B-2.36B
Basic EPS -3-7-14-7-17-29-26
Diluted EPS -2.81-6.88-13.75-7.20-16.80-29.10-25.50

Balance sheet

Line item 2019 2020 2021 2022 2023 2024 2025
Total current assets --1.17B1.61B2.15B2.27B2.30B2.69B
Cash & ST investments --316.42M757.94M973.88M768.26M739.24M1.16B
Inventory --432.53M545.74M630.15M927.69M1.08B853.08M
Total assets --2.55B3.31B4.01B4.29B4.05B3.93B
Total current liabilities --1.87B3.04B3.19B3.62B4.74B6.21B
Short-term debt --374.68M666.41M1.37B2.12B2.69B3.90B
Long-term debt ------43.64M1.41B2.28B2.50B
Total liabilities --1,967,853,000.003,187,197,000.004,099,664,000.005,543,201,000.007,382,910,000.009,052,036,000.00
Total equity --580.71M122.50M-89.93M-1.25B-3.33B-5.12B
Retained earnings ---754.41M-1.76B-3.68B-4.86B-6.91B-9.27B

Cash flow

Line item 2019 2020 2021 2022 2023 2024 2025
Operating cash flow -190.06M-57.05M-324.05M-1.08B-1.89B-991.21M-914.99M
Depreciation & amortization 32.55M216.08M211.58M140.81M115.45M55.72M52.72M
Free cash flow -475.51M-300.76M-450.99M-1.79B-2.47B-1.35B-1.37B
Dividends paid --------------
Stock buybacks / issuance 247.88M438.34M582.39M1.42B00498.34M
Ending cash balance 236.20M316.42M756.68M973.88M768.26M739.24M1.16B

Returns & efficiency

Line item 2019 2020 2021 2022 2023 2024 2025
ROE % ---83.49-286.53--------
ROA % ---19.02-34.39-12.85-29.63-50.15-59.05
ROIC % ---45.81-103.80--------
5-year avg ROE % --------------
EBIT margin % -191.55-72.89-71.93-15.09-41.85-84.73-64.93
FCF / sales % --------------
Current ratio --0.630.530.670.630.480.43
Quick ratio --0.360.330.440.350.240.27
Debt / assets --17.1322.1535.9483.59125.15165.16
LT debt / equity --10.6554.35--------
Interest coverage -9.35-16.79-21.26-4.79-4.82-5.14-5.29
Revenue CAGR (3Y) % ------197.8057.1414.837.81
Net income CAGR (3Y) % --------------
FCF CAGR (3Y) % --------------

Revenue breakdown most recent period

Business

Commercializing and selling battery electric vehicles and related technologies100.00%

Region

United Kingdom25.65%
Sweden20.69%
Other16.81%
Germany7.43%
Norway6.38%
United States of America (USA)5.67%
Belgium4.97%
Netherlands4.76%
Korea4.20%
Australia3.44%

Quote time 2026-10-09 20:02:37 · For reference only, not investment advice and not tailored to your situation.

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