Borregaard ASA develops, produces, and markets specialized biomaterials and biochemicals in Norway, rest of Europe, the United States, Asia, and internationally. It operates through three segments: BioSolutions, BioMaterials, and Fine Chemicals. The BioSolutions segment provides biopolymers for a range of applications, such as agrochemicals, batteries, industrial binders, and construction; and biovanillin for flavor and fragrance companies, as well as for food and beverage industry. The BioMaterials segment offers specialty cellulose for use as a raw material in the production of cellulose ethers, cellulose acetate, and other specialty products; and cellulose fibrils for industrial applications. The Fine Chemicals segment provides fine chemical intermediates for contrast agents; and bioethanol products. Borregaard ASA was incorporated in 2012 and is headquartered in Sarpsborg, Norway.
14.26
EUR
+0.50
(+3.63%)
Borregaard ASA
BO4:GR
(Greece Composite)
Recent
price
14.26
P/E
ratio
15.94
div
yld
2.13%
ROIC.AI
Legends:
Stock price
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Beta (1.0 Market)
% total return 09/30
Stock
S&P500
YTD
13.72
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3Y
8.18
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5Y
57.44
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Working Capital
USD
•
in mil. unless spec.
Dec'22
Mar'23
Jun'23
Total Current Assets
12,345
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12,345
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12,345
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Cash, Cash Equivalents & STI
12,345
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12,345
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12,345
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Accounts Receivable, Net
12,345
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12,345
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12,345
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Inventories
12,345
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12,345
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12,345
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Total Current Liabilities
12,345
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12,345
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12,345
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Payables & Accruals
12,345
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12,345
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12,345
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ST Debt
12,345
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12,345
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12,345
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Deferred Revenue
12,345
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12,345
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12,345
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Quarterly Dividends Per Share
USD
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in mil. unless spec.
Year
Q1
Q2
Q3
Q4
FY
2021
12,345
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12,345
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12,345
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12,345
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12,345
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2022
12,345
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12,345
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12,345
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12,345
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12,345
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2023
12,345
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12,345
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in mil. unless spec.
(avg. rate of change)
10 years
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1 year
Sales/Revenue/Turnover
12,345
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12,345
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12,345
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Net Income, GAAP
12,345
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12,345
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12,345
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Free Cash Flow
12,345
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12,345
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12,345
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Total Cash Common Dividend
12,345
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12,345
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12,345
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Total Equity
12,345
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12,345
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12,345
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Quarterly Earnings Per Share
USD
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in mil. unless spec.
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Q2
Q3
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FY
2021
12,345
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12,345
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12,345
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12,345
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12,345
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2022
12,345
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12,345
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12,345
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12,345
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12,345
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2023
12,345
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12,345
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Capital Structure
USD
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in mil. unless spec.
Dec'22
Mar'23
Jun'23
ST Debt
12,345
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12,345
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12,345
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LT Borrowings
12,345
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12,345
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12,345
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LT Finance Leases
12,345
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12,345
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12,345
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Preferred Equity and Hybrid Capital
12,345
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12,345
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12,345
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Shares Outstanding
12,345
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12,345
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12,345
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Market Capitalization
12,345
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12,345
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12,345
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Quarterly Revenue
USD
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in mil. unless spec.
Year
Q1
Q2
Q3
Q4
FY
2021
12,345
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12,345
Premium data
12,345
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12,345
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12,345
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2022
12,345
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12,345
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12,345
Premium data
12,345
Premium data
12,345
Premium data
2023
12,345
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12,345
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2009
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2015
2016
2017
2018
2019
2020
2021
2022
TTM
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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Revenue per ShareRevenue per Share
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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Basic EPS, GAAPBasic EPS, GAAP
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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Free Cash Flow per Basic ShareFree Cash Flow per Basic Share
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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Dividend per ShareDividend per Share
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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Book Value per ShareBook Value per Share
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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12,345
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Tangible Book Value per ShareTangible Book Value per Share