Orion S.A.OEC

時価総額
$2.6億
PER
カーボンブラック製造の最大手。ポリマー・電池向け導電性グレードとタイヤ補強用ラバーグレードを展開。2024年にフランスのタイヤリサイクル企業へ出資し長期供給契約を締結。欧州・北米・南米・アジアで展開。
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents57646566613844
Accounts receivable, net263213235289368241212
Inventory, Net184165141230278287290
Income tax receivables241811125613
Prepaid expenses and other current assets35374469677454
Total current assets575508500665779646613
Property, plant and equipment, net-534611708819900965
Right-of-use assets---8598111118
Goodwill56778478737672
Intangible assets, net95514736282619
Equity Method Investments5565558
Deferred income tax assets52495350293022
Other assets3434594042
Total non-current assets6987508899661,1101,1871,244
Total assets1,2731,2571,3901,6311,8891,8331,857
Accounts payable164156131195184184156
Long-Term Debt, Current Maturities413683152258137259
Accrued liabilities56454951454240
Income taxes payable2814241731345
Other current liabilities30333734344457
Total current liabilities320285325449553440517
Long-term debt, net644630656631657677647
Employee benefit plan obligation60728374506059
Deferred income tax liabilities46433962706637
Other liabilities444110695100111124
Total non-current liabilities794786884863877915866
Common stock84858585858585
Treasury stock, at cost, 3,749,887 and 3,093,487----97082
Additional paid-in capital64666971768685
Retained earnings397884218319418457
Accumulated other comprehensive loss-20-34-49-48-12-40-70
Total stockholders' equity159186181320459479475
Total liabilities and stockholders' equity1,2731,2571,3901,6311,8891,8331,857