Campine NV (CAMB.BR)
- Previous Close
165.00 - Open
166.00 - Bid --
- Ask --
- Day's Range
166.00 - 166.00 - 52 Week Range
71.50 - 170.00 - Volume
134 - Avg. Volume
563 - Market Cap (intraday)
249M - Beta (5Y Monthly) 0.40
- PE Ratio (TTM)
11.19 - EPS (TTM)
14.83 - Earnings Date Apr 23, 2025
- Forward Dividend & Yield 4.50 (2.73%)
- Ex-Dividend Date Jun 11, 2025
- 1y Target Est
--
Campine NV engages in the circular metals and specialty chemicals businesses in Belgium and internationally. The company produces and sells lead and lead alloys; recovers, treats, and refines lead, tin, precious metals, and antimony to produce new and reusable raw materials; and offers recycled batteries. It also manufactures antimony trioxide used as flame retardants, polymerization catalysts, and pigment reagents, as well as PET catalysts and raw materials for pigment; and produces various types of polymer and plastic masterbatches. The company was formerly known as Compagnie Métallurgique de la Campine SA and changed its name to Campine NV in 1992. Campine NV was founded in 1912 and is headquartered in Beerse, Belgium. Campine NV operates as a subsidiary of F.W. Hempel Metallurgical Gmbh.
www.campine.comRecent News: CAMB.BR
View MorePerformance Overview: CAMB.BR
Trailing total returns as of 5/9/2025, which may include dividends or other distributions. Benchmark is BEL 20 (^BFX) .
YTD Return
1-Year Return
3-Year Return
5-Year Return
Compare To: CAMB.BR
Select to analyze similar companies using key performance metrics; select up to 4 stocks.
Statistics: CAMB.BR
View MoreValuation Measures
Market Cap
247.50M
Enterprise Value
263.54M
Trailing P/E
11.12
Forward P/E
--
PEG Ratio (5yr expected)
--
Price/Sales (ttm)
0.68
Price/Book (mrq)
2.85
Enterprise Value/Revenue
0.72
Enterprise Value/EBITDA
6.57
Financial Highlights
Profitability and Income Statement
Profit Margin
6.09%
Return on Assets (ttm)
12.62%
Return on Equity (ttm)
28.57%
Revenue (ttm)
365.45M
Net Income Avi to Common (ttm)
22.26M
Diluted EPS (ttm)
14.83
Balance Sheet and Cash Flow
Total Cash (mrq)
3.13M
Total Debt/Equity (mrq)
22.10%
Levered Free Cash Flow (ttm)
10.9M