Kemira Oyj

PINK:KOYJF USA Chemicals
Market Cap
$3.22 Billion
Market Cap Rank
#5016 Global
#3033 in USA
Share Price
$21.52
Change (1 day)
-6.43%
52-Week Range
$21.52 - $23.78
All Time High
$24.08
About

Kemira Oyj operates as a chemicals company in Finland, rest of Europe, the Middle East, Africa, the Americas, and the Asia Pacific. It operates in two segments, Pulp & Paper and Industry & Water. The Pulp & Paper segment develops and commercializes pulp and paper, as well as a range of products for paper wet-end, including packaging, board, and tissue products. The Industry & Water segment offers… Read more

Kemira Oyj (KOYJF) - Net Assets

Latest net assets as of December 2025: $1.70 Billion USD

Based on the latest financial reports, Kemira Oyj (KOYJF) has net assets worth $1.70 Billion USD as of December 2025.

Net assets (also known as shareholders' equity or book value) represent the difference between a company's total assets ($3.13 Billion) and total liabilities ($1.44 Billion). This figure indicates the residual interest in the assets after deducting liabilities, essentially showing what would remain for shareholders if all assets were liquidated and all debts paid off.

Key Net Assets Metrics

Metric Value
Current Net Assets $1.70 Billion
% of Total Assets 54.12%
Annual Growth Rate 2.17%
5-Year Change 26.32%
10-Year Change 43.38%
Growth Volatility 9.76

Kemira Oyj - Net Assets Trend (1998–2025)

This chart illustrates how Kemira Oyj's net assets have evolved over time, based on quarterly financial data. Explore and compare other companies by net assets.

Annual Net Assets for Kemira Oyj (1998–2025)

The table below shows the annual net assets of Kemira Oyj from 1998 to 2025.

Year Net Assets Change
2025-12-31 $1.70 Billion -5.96%
2024-12-31 $1.80 Billion +7.08%
2023-12-31 $1.68 Billion -0.02%
2022-12-31 $1.68 Billion +25.46%
2021-12-31 $1.34 Billion +11.40%
2020-12-31 $1.21 Billion -2.09%
2019-12-31 $1.23 Billion +2.37%
2018-12-31 $1.20 Billion +2.53%
2017-12-31 $1.17 Billion -0.85%
2016-12-31 $1.18 Billion -0.86%
2015-12-31 $1.19 Billion +2.57%
2014-12-31 $1.16 Billion +3.36%
2013-12-31 $1.13 Billion -14.40%
2012-12-31 $1.31 Billion -4.09%
2011-12-31 $1.37 Billion +0.37%
2010-12-31 $1.37 Billion +7.65%
2009-12-31 $1.27 Billion +30.00%
2008-12-31 $976.00 Million -10.24%
2007-12-31 $1.09 Billion -0.29%
2006-12-31 $1.09 Billion +7.00%
2005-12-31 $1.02 Billion +6.61%
2004-12-31 $956.00 Million -13.09%
2003-12-31 $1.10 Billion +2.54%
2002-12-31 $1.07 Billion -5.21%
2001-12-31 $1.13 Billion -0.75%
2000-12-31 $1.14 Billion +16.01%
1999-12-31 $982.90 Million +3.55%
1998-12-31 $949.20 Million --

Equity Component Analysis

This analysis shows how different components contribute to Kemira Oyj's total equity over time. Equity components include common stock, retained earnings, additional paid-in capital, and other elements.

Equity Composition Insights

  • Retained earnings have grown by 125.5% over the analyzed period, indicating profitable operations and earnings retention.

Current Equity Component Breakdown (December 2025)

Component Amount Percentage
Retained Earnings $1.02 Billion 61.03%
Other Components $653.90 Million 38.97%
Total Equity $1.68 Billion 100.00%

Kemira Oyj Competitors by Market Cap

The table below lists competitors of Kemira Oyj ranked by their market capitalization.

Equity Growth Attribution

This analysis shows how different factors contributed to changes in Kemira Oyj's equity between the two most recent reporting periods.

Equity Growth Insights

  • From 2024 to 2025, total equity changed from 1,785,400,000 to 1,678,000,000, a change of -107,400,000 (-6.0%).
  • Net income of 181,200,000 contributed positively to equity growth.
  • Share repurchases of 96,300,000 reduced equity.
  • Other comprehensive income decreased equity by 267,500,000.
  • Other factors increased equity by 75,200,000.

Equity Change Factors (2024 to 2025)

Factor Impact Contribution
Net Income $181.20 Million +10.8%
Share Repurchases $96.30 Million -5.74%
Other Comprehensive Income $-267.50 Million -15.94%
Other Changes $75.20 Million +4.48%
Total Change $- -6.02%

Book Value vs Market Value Analysis

This analysis compares Kemira Oyj's book value (net assets) with its market value over time. The relationship between these values can provide insights into investor sentiment and company valuation.

Valuation Insights

  • Current price-to-book ratio: 1.92x
  • The company is trading above its book value, indicating the market recognizes value beyond its reported assets.
  • The price-to-book ratio has decreased from 3.26x to 1.92x over the analyzed period, indicating reduced market premium.

Historical Price-to-Book Ratios

Date Book Value per Share Market Price P/B Ratio
1998-12-31 $6.61 $21.52 x
1999-12-31 $6.86 $21.52 x
2000-12-31 $8.06 $21.52 x
2001-12-31 $8.37 $21.52 x
2002-12-31 $8.13 $21.52 x
2003-12-31 $8.21 $21.52 x
2004-12-31 $7.02 $21.52 x
2005-12-31 $7.55 $21.52 x
2006-12-31 $8.10 $21.52 x
2007-12-31 $8.04 $21.52 x
2008-12-31 $7.84 $21.52 x
2009-12-31 $9.25 $21.52 x
2010-12-31 $8.81 $21.52 x
2011-12-31 $8.93 $21.52 x
2012-12-31 $8.55 $21.52 x
2013-12-31 $7.31 $21.52 x
2014-12-31 $7.56 $21.52 x
2015-12-31 $7.75 $21.52 x
2016-12-31 $7.67 $21.52 x
2017-12-31 $7.60 $21.52 x
2018-12-31 $7.79 $21.52 x
2019-12-31 $7.96 $21.52 x
2020-12-31 $7.77 $21.52 x
2021-12-31 $8.64 $21.52 x
2022-12-31 $10.83 $21.52 x
2023-12-31 $10.74 $21.52 x
2024-12-31 $11.50 $21.52 x
2025-12-31 $11.23 $21.52 x

Capital Efficiency Dashboard

This dashboard shows how efficiently Kemira Oyj utilizes its equity to generate returns, including Return on Equity (ROE) and its components based on the DuPont analysis framework.

Capital Efficiency Insights

  • Current Return on Equity (ROE): 10.80%
  • The company shows good efficiency in utilizing shareholder equity.
  • DuPont Analysis Breakdown:
  • • Net Profit Margin: 6.58%
  • • Asset Turnover: 0.88x
  • • Equity Multiplier: 1.87x
  • Recent ROE (10.80%) is above the historical average (9.19%), indicating improving capital efficiency.

Historical Capital Efficiency Metrics

Year Return on Equity Net Profit Margin Asset Turnover Equity Multiplier Economic Value Added
1998 8.34% 3.24% 0.98x 2.62x $-15.49 Million
1999 3.18% 1.22% 0.97x 2.69x $-65.97 Million
2000 18.73% 8.46% 1.04x 2.14x $97.97 Million
2001 6.31% 2.87% 1.00x 2.20x $-41.11 Million
2002 1.01% 0.41% 1.05x 2.36x $-94.93 Million
2003 6.89% 2.69% 1.10x 2.34x $-33.18 Million
2004 8.41% 3.08% 1.24x 2.20x $-14.78 Million
2005 8.80% 4.44% 0.86x 2.32x $-12.05 Million
2006 10.82% 4.62% 0.91x 2.57x $8.81 Million
2007 5.94% 2.27% 0.99x 2.64x $-43.50 Million
2008 0.19% 0.06% 0.99x 3.01x $-93.16 Million
2009 6.84% 3.42% 0.89x 2.25x $-39.45 Million
2010 48.28% 29.94% 0.85x 1.90x $512.91 Million
2011 10.33% 6.36% 0.82x 1.97x $4.45 Million
2012 1.29% 0.75% 0.90x 1.91x $-113.36 Million
2013 -2.84% -1.42% 1.01x 1.99x $-142.85 Million
2014 7.81% 4.21% 0.93x 2.00x $-25.17 Million
2015 6.02% 2.99% 0.91x 2.20x $-47.03 Million
2016 7.85% 3.88% 0.90x 2.24x $-25.20 Million
2017 6.78% 3.16% 0.93x 2.31x $-37.30 Million
2018 7.49% 3.44% 0.94x 2.32x $-29.86 Million
2019 9.05% 4.14% 0.92x 2.37x $-11.57 Million
2020 11.01% 5.41% 0.87x 2.35x $12.09 Million
2021 8.14% 4.04% 0.85x 2.36x $-24.78 Million
2022 13.88% 6.49% 0.98x 2.19x $64.71 Million
2023 11.96% 5.88% 0.97x 2.10x $32.62 Million
2024 13.97% 8.46% 0.87x 1.89x $70.86 Million
2025 10.80% 6.58% 0.88x 1.87x $13.40 Million

Industry Comparison

This section compares Kemira Oyj's net assets metrics with peer companies in the Chemicals industry.

Industry Context

  • Industry: Chemicals
  • Average net assets among peers: $4,551,697,655
  • Average return on equity (ROE) among peers: 0.97%

Peer Company Comparison

Company Net Assets Return on Equity Debt-to-Equity Market Cap
Kemira Oyj (KOYJF) $1.70 Billion 8.34% 0.85x $1.97 Billion
Synalloy Corporation (ACNT) $26.00 Million 24.62% 0.65x $96.97 Million
Advance ZincTek Limited (ADVNF) $34.99 Million 6.26% 0.09x $5.02 Million
AdvanSix Inc (ASIX) $215.36 Million 15.86% 3.20x $435.20 Million
ASP Isotopes Inc. Common Stock (ASPI) $6.00 Million -43.48% 0.19x $437.78 Million
Braskem SA Class A (BAK) $5.89 Billion 14.66% 7.38x $970.61 Million
Bachem Holding AG (BCHMF) $389.21 Million 11.99% 0.14x $1.98 Billion
BASF SE NA O.N. (BFFAF) $36.11 Billion 13.04% 1.40x $47.09 Billion
BioLargo Inc (BLGO) $-770.20K 0.00% 0.00x $51.87 Million
Black Swan Graphene Inc. (BSWGF) $13.83 Million -43.99% 0.01x $10.07 Million
Celanese Corporation (CE) $2.83 Billion 10.75% 2.03x $6.44 Billion