Viscofan (VIS.MC) — chart, structure and Closelook read

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Signals for this name

Every Closelook reading that exists for VIS.MC, from the same nightly bakes the boards use. Research diary readings, not advice.

Who it is priced against Packaging & Containers · 8 names with week and year-to-date

Peer group

Packaging & Containers

Names in the same industry from the Closelook universe; scored names rank on their Closelook score, the rest on trend state.

Compared against VIS.MC on the nightly bakes; the Peers tab ranks the cohort on the Closelook scores where it exists.

Dividends and capital return trailing yield 4.86%, semi-annual · buybacks 94 m EUR in FY2025

Dividends and capital return

What VIS.MC pays out and buys back — distributions read from the price series, money terms from the filings.

  • Trailing 12 months 2.66 EUR per share · a 4.86% yield on the 2026-09-17 close 2 distributions, paid twice a year 2026-09-17
  • Change on the year +94.4% against the prior twelve months prior twelve months 1.37 EUR per share
  • Last distribution 1.46 EUR per share as the price series records it, within days of the ex-date 2026-06-03
  • By calendar year 2025: 2.57 EUR (partial) · 2026: 1.46 EUR to date first distribution recorded in the three-year window: 2025-05-15
  • Dividends paid, FY2025 51 m EUR 76% of earnings
  • Buybacks, FY2025 94 m EUR 3.8% of today's market value
  • Share count +1.8% in FY2025 7 m EUR of stock-based compensation in the year
  • Capital returned 145 m EUR · 134% of free cash flow dividends and buybacks together, against the year’s free cash flow

Per-share amounts are derived from the adjusted price series in the listing currency, so dates sit within days of the ex-date; filing figures come from the fundamentals feed for the last reported fiscal year. An investment diary, not a recommendation.

Weather around the name 4 macro readings: Money Temperature, Factor regime, Sector × region …

The weather around this name

Macro readings that apply by membership — the regime, the factor tape, the sector cell, the funding backdrop.

  • Money Temperature Composite 55/100 · S&P 500 fund at 58, above its 50- and 200-day averagesEight instruments scored on position, momentum, volume, volatility and fragility — the regime every name trades inside. Temperature lab → 2026-09-17
  • Factor regime Momentum leading — risk appetite buildingMomentum against low volatility (SPMO / SPLV): above its 50-day trend, 94th percentile of the window, +2.7% over 20 sessions. Factor regime → 2026-09-17
  • Sector × region Consumer discretionary in Europe: −1.8% week · −1.3% month · +0.4% quarter · +0.6% year (approximated)The Sector Engine cell this name lives in, from EXV5.XETRA+EXV7.XETRA+EXV8.XETRA+EXH2.XETRA; the 11 × 4 matrix shows where its sector is being bought and where it is being sold. Sector Engine → 2026-09-16
  • Sovereign pressure Index 0.00 · down 0.41 over 21 sessionsG7 long-end yields, 10s30s and the slope — the funding weather for every balance sheet on this site. Sovereign pressure → 2026-09-17

About Viscofan

Viscofan (VIS.MC) trades on the MC exchange in Spain, classified under Consumer Cyclical.

The Closelook company score reads 48/100 composite (momentum 40, quality 54, valuation 54) across 7 modules — the full three-layer breakdown, chart structure and analog history load live above.

closelook.net is an investment research diary — market structure, index membership and scores are our own readings, not investment advice. Related: index compare · sector dispersion · scanner.

FAQ · from the current data · as of 2026-09-18

Quick answers

What is Viscofan (VIS.MC)?

Viscofan trades as VIS.MC on the MC exchange (Spain) and is classified under Consumer Cyclical in the Closelook research universe, as of the registry build of 2026-09-18.

Is VIS.MC in a Closelook index?

Not currently — Viscofan is tracked in the Closelook research universe but is not a constituent of a Closelook functional index as of 2026-09-18.

What is Viscofan's Closelook composite score?

48 out of 100, with momentum 40, quality 54 and valuation 54 sub-scores, as of 2026-09-18. Scores are Closelook's own research readings, not ratings or investment advice.

Where does VIS.MC trade against its moving averages?

Mixed moving-average stack: Trades -2.9% vs the 50-day and -2.8% vs the 200-day average, 9.9% below the 52-week high and +18.7% off the 52-week low. Computed from daily closes. As of 2026-09-17 — a technical state from the nightly Closelook bake, not advice. The Technical tab carries the full row.

Does Viscofan pay a dividend?

Viscofan has paid 2.66 EUR per share over the last twelve months, paid twice a year, a trailing yield of 4.86% on the 2026-09-17 close; the last distribution recorded in the price series was 1.46 EUR on 2026-06-03. In fiscal 2025 the company paid 51 m EUR in dividends and bought back 94 m EUR of its own shares, 134% of that year’s free cash flow. The share count rose 1.8% over the fiscal year. The "Dividends and capital return" block on this page carries the lines.

What does this page show?

A live price chart with SMA overlays and drawing tools for VIS.MC, performance metrics, index-membership context and the Closelook structure read — an investment research diary view, not investment advice.

Related in the Closelook universe

then Packaging & Containers. Scored names rank on their Closelook score; names without one rank on trend state — above or below their 50- and 200-day averages — never on a score they do not carry.