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US English

Trade ACS, Actividades de Construcción y Servicios, S.A. - ACS CFD

38.47
0.03%
Market Trading Hours* (UTC) Opens on Wednesday at 07:00

Mon - Fri: 07:00 - 15:30

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading сonditions
Spread 0.14
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.022099 %
Charges from full value of position ($-4.20)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.022099%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.000123 %
Charges from full value of position ($-0.02)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.000123%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency EUR
Margin 5%
Stock exchange Spain
Commission on trade 0%

*Information provided by Capital.com

ACS Actividades de Construccion y Servicios SA ESG Risk Ratings

High Medium Low Negligible

‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 38.46
Open* 38.55
1-Year Change* 21.99%
Day's Range* 38.39 - 38.78
52 wk Range 25.30-40.84
Average Volume (10 days) 442.71K
Average Volume (3 months) 10.25M
Market Cap 11.03B
P/E Ratio 13.64
Shares Outstanding 327.74M
Revenue 35.48B
EPS 2.91
Dividend (Yield %) 5.00619
Beta 1.13
Next Earnings Date Feb 23, 2024

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Apr 22, 2024 38.46 0.07 0.18% 38.39 38.67 38.13
Apr 19, 2024 38.12 0.01 0.03% 38.11 38.29 37.54
Apr 18, 2024 38.41 -0.34 -0.88% 38.75 39.00 38.33
Apr 17, 2024 38.61 0.74 1.95% 37.87 38.97 37.87
Apr 16, 2024 37.99 0.80 2.15% 37.19 38.15 37.19
Apr 15, 2024 37.49 -0.20 -0.53% 37.69 38.09 37.47
Apr 12, 2024 37.91 0.26 0.69% 37.65 38.27 37.61
Apr 11, 2024 37.58 0.01 0.03% 37.57 37.76 37.22
Apr 10, 2024 37.48 -0.09 -0.24% 37.57 37.98 37.32
Apr 9, 2024 37.66 -0.17 -0.45% 37.83 37.83 37.44
Apr 8, 2024 37.74 0.05 0.13% 37.69 37.99 37.61
Apr 5, 2024 37.84 -0.05 -0.13% 37.89 38.16 37.40
Apr 4, 2024 38.30 -0.39 -1.01% 38.69 38.69 38.12
Apr 3, 2024 38.61 0.28 0.73% 38.33 38.62 37.96
Apr 2, 2024 38.49 -0.24 -0.62% 38.73 39.00 38.28
Mar 28, 2024 38.80 0.60 1.57% 38.20 38.84 38.00
Mar 27, 2024 40.08 0.14 0.35% 39.94 40.38 39.94
Mar 26, 2024 39.97 -0.06 -0.15% 40.03 40.28 39.89
Mar 25, 2024 40.16 -0.12 -0.30% 40.28 40.45 40.04
Mar 22, 2024 40.35 -0.15 -0.37% 40.50 40.68 40.31

ACS, Actividades de Construcción y Servicios, S.A. Events

Time (UTC) Country Event
Friday, May 3, 2024

Time (UTC)

10:00

Country

ES

Event

ACS Actividades de Construccion y Servicios SA Annual Shareholders Meeting
ACS Actividades de Construccion y Servicios SA Annual Shareholders Meeting

Forecast

-

Previous

-
Thursday, May 9, 2024

Time (UTC)

10:00

Country

ES

Event

ACS Actividades de Construccion y Servicios SA Annual Shareholders Meeting
ACS Actividades de Construccion y Servicios SA Annual Shareholders Meeting

Forecast

-

Previous

-

Time (UTC)

10:59

Country

ES

Event

Q1 2024 ACS Actividades de Construccion y Servicios SA Earnings Release
Q1 2024 ACS Actividades de Construccion y Servicios SA Earnings Release

Forecast

-

Previous

-
Tuesday, July 23, 2024

Time (UTC)

10:59

Country

ES

Event

Half Year 2024 ACS Actividades de Construccion y Servicios SA Earnings Release
Half Year 2024 ACS Actividades de Construccion y Servicios SA Earnings Release

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 33615.2 27836.7 29304.7 39048.9 36658.5
Revenue 33615.2 27836.7 29304.7 39048.9 36658.5
Cost of Revenue, Total 23364.7 18999.8 20501.7 25732.7 23978.6
Gross Profit 10250.5 8836.83 8803.01 13316.1 12679.9
Total Operating Expense 32541.9 27455.8 28216.2 36702.9 34804.7
Selling/General/Admin. Expenses, Total 7249.88 6239.29 6777.42 8394.43 7909.96
Depreciation / Amortization 669.46 477.273 973.045 978.687 817.601
Unusual Expense (Income) -692.218 188.233 -1185.07 -296.037 6.289
Other Operating Expenses, Total 2329.4 1822.33 1303.35 2444.75 2473.99
Operating Income 1073.3 380.889 1088.52 2345.97 1853.82
Interest Income (Expense), Net Non-Operating 31.299 -256.47 -81.442 -85.362 -48.129
Other, Net -95.952 -66.917 -102.653 -181.7 -155.4
Net Income Before Taxes 1008.65 57.502 904.423 2078.91 1650.3
Net Income After Taxes 807.451 -731.87 649.302 1670.32 1261.16
Minority Interest -204.557 -169.481 -319.455 -466.862 -345.584
Net Income Before Extra. Items 602.894 -901.351 329.847 1203.45 915.578
Total Extraordinary Items 65.333 3946.76 244.158 -241.427 0
Net Income 668.227 3045.41 574.005 962.027 915.578
Income Available to Common Excl. Extra. Items 602.894 -901.351 329.847 1203.45 915.578
Income Available to Common Incl. Extra. Items 668.227 3045.41 574.005 962.027 915.578
Diluted Net Income 668.227 3045.41 574.005 962.027 915.578
Diluted Weighted Average Shares 285.162 330.25 341.481 389.521 377.831
Diluted EPS Excluding Extraordinary Items 2.11422 -2.7293 0.96593 3.08957 2.42325
Diluted Normalized EPS 0.17098 -2.35882 -1.28981 2.47894 2.43597
Interest Expense (Income) - Net Operating -379.318 -271.182 -154.253 -551.662 -381.761
Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022
Total revenue 17033.1 8111 18200.3 9111 15414.9
Revenue 17033.1 8111 18200.3 9111 15414.9
Total Operating Expense 16452.1 7783 17718.7 8842 14823.3
Depreciation / Amortization 260.146 381.765 238.985
Interest Expense (Income) - Net Operating -229.25 -206.799 -174.119
Unusual Expense (Income) 47.793 -304.817 0 -387.401
Other Operating Expenses, Total 1003.7 7783 1414.46 8842 965.25
Operating Income 581.05 328 481.65 269 591.654
Interest Income (Expense), Net Non-Operating 31.167 -47 17.892 -16 -82.545
Net Income Before Taxes 612.217 278 499.542 206 509.109
Net Income After Taxes 460.202 198 424.264 187 383.187
Minority Interest -74.963 -35 -86.173 -37 -118.384
Net Income Before Extra. Items 385.239 163 338.091 150 264.803
Total Extraordinary Items 0 0 0 65.333
Net Income 385.239 163 338.091 150 330.136
Total Adjustments to Net Income
Income Available to Common Excl. Extra. Items 385.239 163 338.091 150 264.803
Income Available to Common Incl. Extra. Items 385.239 163 338.091 150 330.136
Diluted Net Income 385.239 163 338.091 150 330.136
Diluted Weighted Average Shares 271.673 271.667 262.098 245.19 308.226
Diluted EPS Excluding Extraordinary Items 1.41803 0.6 1.28994 0.61177 0.85912
Dividends per Share - Common Stock Primary Issue 0 0 0 0.04681
Diluted Normalized EPS 1.55027 0.6 0.30221 0.61177 -0.08688
Cost of Revenue, Total 11523.5 12653.1 10711.6
Gross Profit 5509.56 5547.22 4703.29
Selling/General/Admin. Expenses, Total 3846.12 3780.96 3468.92
Other, Net -3 -47
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total Current Assets 25159.3 24654.3 24314.9 25150.8 21485
Cash and Short Term Investments 10417 12291 9271.37 9235.2 8052.87
Cash & Equivalents 9419.99 11253.4 8080.81 8130.98 6966.46
Short Term Investments 997.011 1037.62 1190.56 1104.22 1086.42
Total Receivables, Net 8748.26 8622.82 10662.7 12631.4 11268.3
Accounts Receivable - Trade, Net 7383.17 6686.49 8500.24 10489.4 9038.04
Total Inventory 828.968 742.092 715.241 916.316 866.521
Other Current Assets, Total 5165.08 2998.37 3665.6 2367.85 1297.31
Total Assets 37580.3 35664.3 37333.7 39695.2 35701.2
Property/Plant/Equipment, Total - Net 1853.93 1537.72 2170.23 2848.7 2657.83
Property/Plant/Equipment, Total - Gross 4637.18 3586.49 4848.78 6799.88 6194.28
Accumulated Depreciation, Total -2783.25 -2048.77 -2678.55 -3951.19 -3536.45
Goodwill, Net 2716.2 2672.25 2863.05 3237.45 3077.74
Intangibles, Net 567.702 607.159 796.126 945.909 963.378
Long Term Investments 6331.31 5330.94 5282.4 5398.35 5942.19
Note Receivable - Long Term
Other Long Term Assets, Total 951.862 861.959 1906.98 2114.03 1575.12
Total Current Liabilities 19720.2 17191.3 22451.8 24655.9 20568.1
Accounts Payable 7126 5940.24 8619.28 10504 9437.92
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 1653.38 1959.26 3077.98 3971.76 2481.99
Other Current Liabilities, Total 10940.8 9291.8 10754.6 10180.2 8648.16
Total Liabilities 32032.9 29330 33805.2 35274.1 31346.7
Total Long Term Debt 9429.43 9118.78 8842.87 7526.13 6946.82
Long Term Debt 8878.68 8717.35 8370.04 6839.19 6251.94
Deferred Income Tax 294.346 227.112 320.488 383.121 380.456
Minority Interest 828.481 693.899 747.428 1084.88 1636.1
Other Liabilities, Total 1760.46 2098.95 1442.63 1624.04 1815.23
Total Equity 5547.4 6334.3 3528.48 4421.09 4354.55
Common Stock 142.082 152.332 155.332 157.332 157.332
Additional Paid-In Capital 366.379 366.379 495.226 897.294 897.294
Retained Earnings (Accumulated Deficit) 5280.15 6678.43 4182.7 4125.38 3813.46
Treasury Stock - Common -622.17 -691.916 -636.011 -402.542 -221.505
Unrealized Gain (Loss) -60.016 -6.847 -27.547 -20.789 -33.424
Other Equity, Total 440.973 -164.071 -641.225 -335.588 -258.603
Total Liabilities & Shareholders’ Equity 37580.3 35664.3 37333.7 39695.2 35701.2
Total Common Shares Outstanding 275.849 320.492 345.546 367.63 373.622
Capital Lease Obligations 550.746 401.43 472.836 686.944 694.873
Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022
Total Current Assets 24664 25159.3 25663.2
Cash and Short Term Investments 8742.37 10417 11757.1
Cash & Equivalents 7765.35 9419.99 7558.1
Short Term Investments 977.012 997.011 4198.99
Total Receivables, Net 9745.03 8748.26 10193.2
Accounts Receivable - Trade, Net 8285.12 7383.17 8138.14
Total Inventory 808.316 828.968 808.132
Other Current Assets, Total 5368.26 5165.08 2904.83
Total Assets 36587.1 37580.3 37490.8
Property/Plant/Equipment, Total - Net 1807.56 1853.93 1622.26
Intangibles, Net 545.478 567.702 602.81
Long Term Investments 5883.65 6331.31 6009.45
Other Long Term Assets, Total 968.028 951.862 882.162
Total Current Liabilities 19320.5 19720.2 19746.5
Accounts Payable 6894.58 7126 7327.69
Notes Payable/Short Term Debt 0 0 0
Current Port. of LT Debt/Capital Leases 1799.82 1653.38 2741
Other Current Liabilities, Total 10626.1 10940.8 9677.85
Total Liabilities 31309.1 32032.9 31595.8
Total Long Term Debt 9263.41 9429.43 9167.67
Long Term Debt 8718.12 8878.68 8678.76
Capital Lease Obligations 545.293 550.746 488.918
Deferred Income Tax 303.929 294.346 255.659
Minority Interest 737.483 828.481 483.623
Other Liabilities, Total 1683.74 1760.46 1942.31
Total Equity 5278.03 5547.4 5894.99
Retained Earnings (Accumulated Deficit) 4793.74 5280.15 5644.89
Other Equity, Total 533.768 440.973 392.702
Total Liabilities & Shareholders’ Equity 36587.1 37580.3 37490.8
Total Common Shares Outstanding 270.845 275.849 298.54
Goodwill, Net 2718.41 2716.2 2710.87
Common Stock 139.082 142.082 144.332
Additional Paid-In Capital 366.379 366.379 366.379
Treasury Stock - Common -495.73 -622.17 -638.816
Unrealized Gain (Loss) -59.203 -60.016 -14.498
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 1008.65 57.502 1283.4 2078.91 1650.3
Cash From Operating Activities 1743.34 203.141 1141.69 1893.92 2321.79
Cash From Operating Activities 620.75 479.446 968.315 969.714 817.601
Non-Cash Items -243.799 946.032 -491.957 -689.084 -54.376
Cash Taxes Paid 26.047 165.809 361.742 208.166 117.769
Cash Interest Paid 470.524 386.596 424.99 498.598 440.016
Changes in Working Capital 357.736 -1279.84 -618.072 -465.615 -91.732
Cash From Investing Activities -198.099 3397.64 292.311 -1466.64 -3646.15
Capital Expenditures -285.175 -386.207 -876.461 -1164.79 -809.599
Other Investing Cash Flow Items, Total 87.076 3783.85 1168.77 -301.851 -2836.55
Cash From Financing Activities -3537.77 -770.952 -1059.36 566.852 1910.7
Financing Cash Flow Items -373.617 69.932 -920.677 -39.718 -12.618
Total Cash Dividends Paid -351.747 -396.012 -490.115 -485.607 -315.861
Issuance (Retirement) of Stock, Net -2233.47 -484.692 -1173.32 -593.04 1847.73
Issuance (Retirement) of Debt, Net -578.938 39.82 1524.76 1685.22 391.447
Foreign Exchange Effects 159.103 342.779 -424.817 122.091 60.801
Net Change in Cash -1833.43 3172.61 -50.176 1116.23 647.139
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 1008.65 509.109
Cash From Operating Activities 1743.34 255.262
Cash From Operating Activities 620.75 238.985
Non-Cash Items -243.799 -133.356
Cash Taxes Paid 26.047 11.2
Cash Interest Paid 470.524 212.289
Changes in Working Capital 357.736 -359.476
Cash From Investing Activities -198.099 280.243
Capital Expenditures -285.175 -108.265
Other Investing Cash Flow Items, Total 87.076 388.508
Cash From Financing Activities -3537.77 -4560.34
Financing Cash Flow Items -373.617 -113.727
Total Cash Dividends Paid -351.747 -68.954
Issuance (Retirement) of Stock, Net -2233.47 -1324.7
Issuance (Retirement) of Debt, Net -578.938 -3052.95
Foreign Exchange Effects 159.103 329.516
Net Change in Cash -1833.43 -3695.32

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ACS Company profile

About ACS Actividades de Constrccn y Srvcos SA

Acs Actividades de Construccion y Servicios SA, formerly ACS Actividades de Construccion y Servicios SA, is a Spain-based holding company primarily engaged in the construction and engineering sector, as well as communications. The Company's business is divided into three segments: Construction, which includes civil construction works, residence and non-residential building, concession activity, mining and real estate; Industrial Services, involved in engineering, installation and maintenance of industrial infrastructure in energy, communication and controlling system sectors; and Environment, which comprises such services as street cleaning, waste collection and transportation, waste recycling, commercial and industrial management of water circulation and urban gardening.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, ACS Actividades de Constrccn y Srvcos SA revenues decreased 5% to EUR27.84B. Net loss before extraordinary items totaled EUR901.4M vs. income of EUR329.8M. Revenues reflect a decrease in demand for the Company's products and services due to unfavorable market conditions. Net loss reflects G/L on Sale of Tangible & Intangible FA decrease of 91% to EUR98.9M (income).

Equity composition

6/2013, Scrip Issue, 1 new share for every 18 shares held (F: 1.03145). 07/2013, Scrip Issue, 1 new share for every 18 shares held (F:1.02496). 01/2014, Scrip Issue, 62 new shares for every 1 share held (F: 1.008145). 7/2014, Scrip Issue, 1 new share for every 48 shares held (F:1.02083). 1/2017 Scrip Issue,1 new share for 68 shares(Factor:1).

Industry: Construction & Engineering (NEC)

Avenida de Pío XII, 102 e
MADRID
MADRID 28036
ES

Income Statement

  • Annual
  • Quarterly

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