Newpark Resources (NR) Stock Analysis
NYSEEnergyOil & Gas Equipment & Services
What Newpark Resources does
Newpark Resources, Inc. (NR) is a company that supplies products, equipment for rent, and specialized services, primarily catering to the upstream oil and natural gas exploration and production (E&P) sector. The company conducts its operations through two distinct business units: Fluids Systems and Industrial Solutions. The Fluids Systems segment specializes in offering drilling, completion, and stimulation fluid products, complemented by crucial technical services. Its client base is predominantly located in North America, Europe, the Middle East, and Africa, with additional reach into the Asia Pacific and Latin American regions. The Industrial Solutions segment provides rental solutions for composite matting systems, facilitating temporary worksite access, and delivers related site development and support services. It serves a diverse array of markets, encompassing power transmission, E&P activities, pipeline projects, renewable energy initiatives, petrochemical facilities, and broader construction endeavors, primarily across the United States and Europe, while also selling its composite mats to customers worldwide. Furthermore, this division is responsible for a suite of on-site services, including the construction of access roads, meticulous site planning and preparation, environmental protection measures, effective fluid and spill containment, erosion control, and comprehensive site restoration. Established in 1932, Newpark Resources, Inc. maintains its corporate headquarters in The Woodlands, Texas.
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Frequently asked questions
- What is the ticker symbol for Newpark Resources?
- Newpark Resources trades under the ticker NR on NYSE.
- Which exchange is NR listed on?
- NR is listed on NYSE.
- What sector does Newpark Resources operate in?
- Newpark Resources is classified in the Energy sector (Oil & Gas Equipment & Services industry).
- How can PortView help analyze NR in a portfolio?
- PortView shows NR's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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