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BIOM

BioMar Group A/S

BIOMAR CO
DKK 125.40+DKK 8.00  (6.81%)
Estimate
P/E
17.7
EPS
7.07
Beta
0.013
Forecast
P/E (FWD)
13.4
EPS (FWD)
9.385
About the company
Ticker
BIOMAR
ISIN
DK0064867972
Country
Denmark
Sector (GICS)
Consumer Staples
BioMar Group A/S provides feeding solutions in the aquaculture industry in Denmark. It operates through four segments: Salmon, Shrimp, Selected Species, and Tech Solutions. The company develops, produces, and delivers feeding solutions for species, such as salmon, shrimp, sea bass, sea bream, trout, turbot, and sturgeon to farmers. It also offers aquaculture feed solutions for Atlantic and Pacific salmon, warm-water shrimp, and other special species. In addition, the company provides AI-based technology solutions for aquacultural feeding and farming. BioMar Group A/S was formerly known as Dansk Ørredfoder A/S and changed its name to BioMar Group A/S in 1994. The company was incorporated in 1962 and is based in Aarhus, Denmark. BioMar Group A/S operates as a subsidiary of Aktieselskabet Schouw & Co.

Frequently asked questions

What sector does BioMar Group A/S (BIOMAR) operate in?

BioMar Group A/S belongs to the Consumer Staples sector and operates in the Farm Products industry.

What is BioMar Group A/S (BIOMAR) current stock price?

As of the latest data, BioMar Group A/S stock price is DKK 125.40, with a previous close of DKK 117.40. BioMar Group A/S gained DKK 8.00 in the last trading session, representing a 6.81% increase.

What is BioMar Group A/S (BIOMAR) current market capitalization?

BioMar Group A/S market cap is approximately 12.60 billion.

What is BioMar Group A/S (BIOMAR) Earnings Per Share (EPS)?

The trailing EPS is DKK 7.07, and the forward EPS is DKK 9.38.

What is BioMar Group A/S (BIOMAR) Price-to-Earnings (P/E) ratio?

BioMar Group A/S current P/E ratio is 17.74, with a forward P/E of 13.36.

Does BioMar Group A/S (BIOMAR) pay dividends?

No. BioMar Group A/S does not pay a dividend.

What is BioMar Group A/S (BIOMAR) beta (volatility) score?

BioMar Group A/S has a beta of 0.013, indicating lower volatility than the overall market.