Craft

Normet

Revenue

€359.3 M

FY, 2021

Normet Summary

Company Summary

Overview
Normet Group is a company that provides solutions for customer processes in underground mining and tunnelling. It offers equipment for concrete spraying and transport, explosives charging, scaling, lifting, installation works, construction chemicals for sprayed concrete, admixtures for all types of concrete, injection systems for rock improvement, reinforcement systems for high deformation conditions, spray-applied waterproofing systems and needed chemicals for tunnel boring machine (TBM) technology covering hard rock, earth pressure balance (EPB), open face and slurry type machines, rock reinforcement products, etc. The company also has other services for underground mining and tunnelling, including spare parts, equipment refurbishment, performance and field services. Additionally, Normet delivers field, parts, logistics, rental, rebuild, service agreements, and other services.
Type
Subsidiary
Status
Active
Founded
1962
HQ
Espoo, FI | view all locations
Website
https://www.normet.com/
Cybersecurity rating
Sectors

Key People

  • Ed Santamaria

    Ed Santamaria, President and Chief Executive Officer

  • Ville Pasanen

    Ville Pasanen, Chief Financial Officer

  • Riku Helander

    Riku Helander, Senior Vice President, Service Business Line

  • Marcelo Anabalon

    Marcelo Anabalon, Senior Vice President, Latin America

Operating MetricsView all

Services Provided

7

Feb, 2023

Product Categories

3

Feb, 2023

Machines Delivered

14K

Feb, 2023

LocationsView all

51 locations detected

  • Espoo HQ

    Finland

    Keilaranta 19

  • Elko, NV

    United States

    2580 Alta Vista Dr, Ste B

  • Salt Lake City, UT

    United States

    1414 Gladiola St #100

  • Boronia, VIC

    Australia

    2 Kalman Dr

  • Kurri Kurri, NSW

    Australia

    16 Railway Parade

  • Mica Creek, QLD

    Australia

    42 Mica Creek Rd

and 45 others

Normet Financials

Summary Financials

Revenue (FY, 2021)
€359.3M
Gross profit (FY, 2021)
€341.4M
Net income (FY, 2021)
€27.9M
Cash (FY, 2021)
€42.3M
EBIT (FY, 2021)
€35.7M

Footer menu