CFD-ovi (Ugovori za razliku u cijeni) složeni su instrumenti i dolaze s visokim rizikom od gubitka novca zbog poluge. 84% računa malih ulagatelja gubi novac prilikom trgovanja CFD-ovima s ovim pružateljem usluga. Trebali biste razmotriti razumijete li funkcioniranje CFD-a i možete li si priuštiti visoki rizik od gubitka novca.

Trgovina Borregaard - BRG CFD

158.4
0.75%
  • Sažetak
  • Podaci iz povijesti
  • Događaji
  • Izjave o prihodima
  • Tablica stanja računa
  • Tok novca
  • Vlasništvo
Uvjeti trgovanja
Spread 1.6
Noćna naknada za dugu poziciju

Long position overnight fee


Margin. Your investment $1,000.00
Prekonoćna naknada -0.020806 %
Charges from borrowed part ($-0.83)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Idite na platformu
-0.020806%
Noćna naknada za kratku poziciju

Short position overnight fee


Margin. Your investment $1,000.00
Prekonoćna naknada -0.001417 %
Charges from borrowed part ($-0.06)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Idite na platformu
-0.001417%
Vrijeme noćne naknade 21:00 (UTC)
Minimalna količina kojom se trguje 1
Valuta NOK
Margina 20%
Burza dionica Norway
Provizija na trgovanje 0%

*Information provided by Capital.com

Borregaard ASA ESG Risk Ratings

High Medium Low Negligible

‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.

Ključni statistički podaci
Zatvori pregled* 159.4
Otvori* 159.2
Godišnja promjena* -12.67%
Dnevni raspon* 157.6 - 159.2
Raspon u 52 tjedna 122.60-192.20
Prosječni volume (10 dana) 77.73K
Prosječni volumen (3 mjeseca) 1.44M
Tržišna kapitalizacija 18.42B
Omjer P/E 20.29
Istaknute dionice 99.75M
Prihod 7.12B
EPS 9.08
Dividend (Yield %) 1.76439
Beta 0.58
Next Earnings Date Jul 18, 2023

Sve je podatke osigurao Refinitiv, osim podataka označenih zvjezdicom, a to su *podaci koje osigurava Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Zatvaranje Change Change (%) Otvaranje High Low
Jun 30, 2022 158.4 -0.2 -0.13% 158.6 159.4 157.6
Jun 29, 2022 159.4 -4.0 -2.45% 163.4 164.2 159.0
Jun 28, 2022 162.6 0.2 0.12% 162.4 163.8 161.0
Jun 27, 2022 162.4 3.4 2.14% 159.0 163.4 157.6
Jun 24, 2022 157.0 1.4 0.90% 155.6 158.4 155.6
Jun 23, 2022 155.8 -2.8 -1.77% 158.6 158.8 155.8
Jun 22, 2022 158.2 -3.2 -1.98% 161.4 161.4 157.6
Jun 21, 2022 163.2 -2.2 -1.33% 165.4 166.6 162.6
Jun 20, 2022 165.0 -2.4 -1.43% 167.4 169.2 163.6
Jun 17, 2022 169.4 -0.2 -0.12% 169.6 173.4 168.8
Jun 16, 2022 170.8 -4.0 -2.29% 174.8 175.8 169.0
Jun 15, 2022 176.0 -1.4 -0.79% 177.4 178.8 174.8
Jun 14, 2022 179.2 -2.7 -1.48% 181.9 181.9 175.0
Jun 13, 2022 182.3 3.3 1.84% 179.0 183.1 179.0
Jun 10, 2022 184.1 1.4 0.77% 182.7 184.5 182.3
Jun 9, 2022 184.1 2.0 1.10% 182.1 185.1 181.0
Jun 8, 2022 182.7 0.6 0.33% 182.1 184.1 180.9
Jun 7, 2022 182.7 0.4 0.22% 182.3 182.7 180.6
Jun 3, 2022 183.7 -2.2 -1.18% 185.9 186.9 183.7
Jun 2, 2022 185.9 -0.8 -0.43% 186.7 188.7 185.5

Borregaard Events

Vrijeme (UTC) (UTC) Zemlja Događaj
Tuesday, July 18, 2023

Vrijeme (UTC) (UTC)

05:00

Zemlja

NO

Događaj

Q2 2023 Borregaard ASA Earnings Release
Q2 2023 Borregaard ASA Earnings Release

Forecast

-

Previous

-
Tuesday, October 24, 2023

Vrijeme (UTC) (UTC)

10:59

Zemlja

NO

Događaj

Q3 2023 Borregaard ASA Earnings Release
Q3 2023 Borregaard ASA Earnings Release

Forecast

-

Previous

-
Pogledajte sve događaje
  • Godišnje
  • Tromjesečno
2022 2021 2020 2019 2018
Ukupni prihod 6881 5805 5328 5063 4785
Prihod 6881 5805 5328 5063 4785
Cijena prihoda, ukupno 3279 2679 2458 2338 2280
Bruto profit 3602 3126 2870 2725 2505
Ukupni operativnu trošak 5695 4853 4760 4505 4209
Prodaja/ Općenito/ Troškovi administratora, Ukupno 1517 1355 1310 1285 1256
Depreciation / Amortization 449 420 448 422 327
Neuobičajeni trošak (prihod) 8 0 116 0
Other Operating Expenses, Total 442 399 428 460 346
Operativni prihod 1186 952 568 558 576
Prihod od kamata (Trošak), neto neoperativno -73 -69 -69 -81 -13
Ostalo, neto 5 -10 -3 -10 -1
Neto prihod prije poreza 1118 873 496 467 562
Neto prihod nakon poreza 851 660 379 351 425
Manjinski udjel 41 32 57 66 51
Neto prihod prije dodataka, stavke 892 692 436 417 476
Neto prihod 892 692 436 417 476
Prihod dostupan svima, osim dodatni stavki 892 692 436 417 476
Prihod dostupan svima, uključujući dodatne stavke 892 692 436 417 476
Razrijeđeni neto prihod 892 692 436 417 476
Razrijeđene ponderirane prosječne dionice 99.5655 99.7 100 100 100
Razrijeđeni EPS bez izvanrednih stavki 8.95893 6.94082 4.36 4.17 4.76
Dividends per Share - Common Stock Primary Issue 3.25 5 2.5 2.3 2.25
Razrijeđeni normalizirani EPS 9.02009 6.94082 5.24637 4.2151 4.78269
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Ukupni prihod 1850 1770 1752 1744 1615
Prihod 1850 1770 1752 1744 1615
Ukupni operativnu trošak 1530 1542 1431 1398 1324
Depreciation / Amortization 115 116 113 111 109
Other Operating Expenses, Total 1415 1426 1318 1287 1215
Operativni prihod 320 228 321 346 291
Prihod od kamata (Trošak), neto neoperativno -25 -16 -21 -23 -13
Ostalo, neto -3 -2 9 -1 -1
Neto prihod prije poreza 292 210 309 322 277
Neto prihod nakon poreza 221 163 235 244 209
Manjinski udjel 10 21 4 8 8
Neto prihod prije dodataka, stavke 231 184 239 252 217
Neto prihod 231 184 239 252 217
Prihod dostupan svima, osim dodatni stavki 231 184 239 252 217
Prihod dostupan svima, uključujući dodatne stavke 231 184 239 252 217
Razrijeđeni neto prihod 231 184 239 252 217
Razrijeđene ponderirane prosječne dionice 100.001 98.9925 99.9658 100.014 99.7427
Razrijeđeni EPS bez izvanrednih stavki 2.30998 1.85873 2.39082 2.51964 2.1756
Dividends per Share - Common Stock Primary Issue 0 3.25 0 0 0
Razrijeđeni normalizirani EPS 2.30998 1.85873 2.39082 2.51964 2.1756
  • Godišnje
  • Tromjesečno
2022 2021 2020 2019 2018
Ukupna trenutna sredstva 2920 2023 2145 2069 1898
Gotovina i kratkotrajne investicije 234 124 207 147 86
Gotovina i ekvivalenti 234 124 207 147 86
Ukupna primanja, neto 1051 818 842 787 828
Accounts Receivable - Trade, Net 988 770 763 759 781
Total Inventory 1299 792 887 931 856
Prepaid Expenses 287 173 174 177 112
Other Current Assets, Total 49 116 35 27 16
Total Assets 8114 7166 7003 6744 5951
Property/Plant/Equipment, Total - Net 4716 4542 4354 4232 3623
Property/Plant/Equipment, Total - Gross 11185 10607 10190 9760 8814
Accumulated Depreciation, Total -6469 -6065 -5836 -5528 -5191
Goodwill, Net 34 32 32 32 32
Intangibles, Net 48 57 54 61 68
Long Term Investments 142 173 38 99 100
Note Receivable - Long Term 204 196 200 211 225
Other Long Term Assets, Total 50 143 180 40 5
Total Current Liabilities 2004 1283 1553 1567 1244
Accounts Payable 497 435 361 405 399
Accrued Expenses 480 396 340 377 382
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 702 224 623 608 272
Other Current Liabilities, Total 325 228 229 177 191
Total Liabilities 3720 2944 3335 3438 2828
Total Long Term Debt 1370 1320 1381 1419 1115
Long Term Debt 1043 1320 1381 1419 1115
Deferred Income Tax 136 197 167 80 51
Minority Interest 51 84 110 158 198
Other Liabilities, Total 159 60 124 214 220
Total Equity 4394 4222 3668 3306 3123
Common Stock 100 100 100 100 100
Additional Paid-In Capital 2227 2168 2092 2042 1991
Retained Earnings (Accumulated Deficit) 2171 1845 1465 1313 1187
Other Equity, Total -104 109 11 -149 -155
Total Liabilities & Shareholders’ Equity 8114 7166 7003 6744 5951
Total Common Shares Outstanding 99.5655 99.5851 99.6153 99.6332 99.5498
Capital Lease Obligations 327
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Ukupna trenutna sredstva 3150 2920 2892 2594 2397
Gotovina i kratkotrajne investicije 217 234 167 90 103
Gotovina i ekvivalenti 217 234 167 90 103
Ukupna primanja, neto 1560 1387 1495 1469 1416
Accounts Receivable - Trade, Net
Total Inventory 1373 1299 1230 1035 878
Total Assets 8371 8114 8040 7679 7581
Property/Plant/Equipment, Total - Net 4786 4716 4681 4618 4531
Intangibles, Net 82 82 84 86 86
Long Term Investments 136 142 143 144 174
Other Long Term Assets, Total 217 254 240 237 393
Total Current Liabilities 2142 2004 2071 1417 1212
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 657 702 641 272 223
Other Current Liabilities, Total 1485 1302 1430 1145 989
Total Liabilities 4111 3720 4111 3780 2979
Total Long Term Debt 1490 1370 1523 1926 1418
Long Term Debt 1490 1370 1523 1926 1418
Minority Interest 44 51 79 76 75
Other Liabilities, Total 435 159 438 361 274
Total Equity 4260 4394 3929 3899 4602
Common Stock 100 100 100 100 100
Additional Paid-In Capital 2277 2227 2217 2215 2205
Retained Earnings (Accumulated Deficit) 2361 2171 2031 1792 2058
Treasury Stock - Common 0 0
Other Equity, Total -478 -104 -419 -208 239
Total Liabilities & Shareholders’ Equity 8371 8114 8040 7679 7581
Total Common Shares Outstanding 99.7545 99.5655 99.7564 99.7569 99.7521
Deferred Income Tax 136
  • Godišnje
  • Tromjesečno
2022 2021 2020 2019 2018
Neto prihod/ početna linija 1118 873 496 467 562
Gotovina iz operativnih aktivnosti 735 1431 886 697 558
Gotovina iz operativnih aktivnosti 449 420 449 432 327
Nenovčane stavke 34 6 51 5 6
Cash Taxes Paid 208 124 89 122 143
Promjene u radnom kapitalu -866 132 -110 -207 -337
Gotovina od investicijskih aktivnosti -455 -692 -489 -554 -749
Kapitalni rashodi -464 -556 -503 -583 -762
Druge stavke investicijskog toka novca, ukupno 9 -136 14 29 13
Gotovina iz financijskih aktivnosti -202 -837 -381 -149 100
Stavke novčanog toka financiranja -1 -15 28 -29 -24
Total Cash Dividends Paid -499 -249 -229 -224 -199
Izdavanje (povlačenje) dionica, neto -27 -59 -27 -25 -9
Izdavanje (povlačenje) duga, neto 325 -514 -153 129 332
Devizni učinci 28 7 -1 1 -3
Neto promjena u gotovini 106 -91 15 -5 -94
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 292 1118 908 599 277
Cash From Operating Activities 111 735 422 110 -72
Cash From Operating Activities 115 449 333 220 109
Non-Cash Items 6 34 31 31 0
Cash Taxes Paid 109 208 137 138 77
Changes in Working Capital -302 -866 -850 -740 -458
Cash From Investing Activities -105 -455 -247 -162 -85
Capital Expenditures -107 -464 -252 -168 -87
Other Investing Cash Flow Items, Total 2 9 5 6 2
Cash From Financing Activities -31 -202 -157 -16 138
Financing Cash Flow Items -17 -1 -37 -12 29
Issuance (Retirement) of Stock, Net 0 -27 11 11 23
Issuance (Retirement) of Debt, Net -14 325 368 484 86
Foreign Exchange Effects 19 28 53 25 -2
Net Change in Cash -6 106 71 -43 -21
Total Cash Dividends Paid 0 -499 -499 -499 0
Ime ulagača Vrsta ulagača Postotak duga Zadržano udjela Promjena udjela Datum zadržavanja Ocjena prihoda
Folketrygdfondet Pension Fund 9.5258 9525823 61327 2023-04-24 LOW
Goldman Sachs Asset Management, L.P. Investment Advisor 7.3949 7394942 7394942 2022-04-05 LOW
MUST INVEST AS Corporation 7.1328 7132755 0 2023-04-24 LOW
Impax Asset Management Ltd. Investment Advisor 5.0304 5030442 2034042 2022-07-01 LOW
ODIN Forvaltning AS Investment Advisor 4.3382 4338243 -122836 2023-04-30 LOW
Handelsbanken Kapitalförvaltning AB Investment Advisor/Hedge Fund 3.5937 3593667 111689 2023-04-30 LOW
Nordea Funds Oy Investment Advisor 3.1805 3180470 0 2023-04-30 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 2.9588 2958806 12241 2023-04-30 LOW
Storebrand Kapitalforvaltning AS Investment Advisor 2.3931 2393116 28671 2023-04-30 LOW
Arctic Fund Management AS Investment Advisor 2.3436 2343572 0 2023-03-31 LOW
Aberdeen Standard Investments (Edinburgh) Investment Advisor 2.0681 2068083 0 2023-03-31 LOW
Pareto Asset Management AS Investment Advisor 2.001 2000971 87670 2023-04-30 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 1.3259 1325880 -9879 2023-04-30 LOW
KLP Forsikring Pension Fund 1.2258 1225774 -15230 2023-03-31 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 1.1957 1195726 2048 2023-03-31 LOW
Amundi Asset Management, SAS Investment Advisor/Hedge Fund 1.1702 1170221 0 2023-03-31 MED
Jupiter Asset Management Ltd. Investment Advisor/Hedge Fund 1.0961 1096096 0 2023-02-28 LOW
Nordea Investment Management AB (Denmark) Investment Advisor 1.0701 1070052 25000 2023-03-31 MED
Alfred Berg Kapitalforvaltning AS Investment Advisor 0.8251 825106 0 2023-04-30 LOW
Boston Common Asset Management, LLC Investment Advisor 0.7661 766074 85188 2023-03-31 LOW

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Aktivnih korisnika mjesečno

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Volumen mjesečnih investicija

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Kalkulator trgovanja

Izračunajte svoj hipotetski PiG ako ste CFD trgovanje otvorili na određen datum (odaberite datum) i zatvorili na drugi datum (odaberite datum).

Provizija za trgovanje
0
  • 1:1
Prednost
1:1
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Investicija
Veličina trgovanja (Poluga x Investicija):
Otvaranje

Zatvaranje

Kratko Dugo
Industry: Industrial Biotechnology Chemicals

Hjalmar Wessels vei 6
SARPSBORG
OSTFOLD 1721
NO

Izjave o prihodima

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Ljudi gledaju i

BTC/USD

27,133.55 Price
-2.320% 1D Chg, %
Noćna naknada za dugu poziciju -0.0616%
Noćna naknada za kratku poziciju 0.0137%
Vrijeme noćne naknade 21:00 (UTC)
Spread 60.00

XRP/USD

0.51 Price
-2.820% 1D Chg, %
Noćna naknada za dugu poziciju -0.0753%
Noćna naknada za kratku poziciju 0.0069%
Vrijeme noćne naknade 21:00 (UTC)
Spread 0.00395

US100

14,212.40 Price
-0.980% 1D Chg, %
Noćna naknada za dugu poziciju -0.0255%
Noćna naknada za kratku poziciju 0.0032%
Vrijeme noćne naknade 21:00 (UTC)
Spread 1.8

Oil - Crude

68.22 Price
-1.940% 1D Chg, %
Noćna naknada za dugu poziciju -0.0209%
Noćna naknada za kratku poziciju -0.0010%
Vrijeme noćne naknade 21:00 (UTC)
Spread 0.03

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