CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. 76% of retail investor accounts lose money when trading CFDs with this provider. You should consider whether you understand how CFDs work and whether you can afford to take the high risk of losing your money.
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0.1983
2.89%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.0024
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.021226 %
Charges from full value of position ($-4.03)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.021226%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.000692 %
Charges from full value of position ($-0.13)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.000692%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency SGD
Margin 5%
Stock exchange Singapore
Commission on trade 0%

*Information provided by Capital.com

China Everbright Water Ltd ESG Risk Ratings

High Medium Low Negligible

‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 0.2042
Open* 0.1992
1-Year Change* -24.55%
Day's Range* 0.1983 - 0.2042
52 wk Range 0.20-0.27
Average Volume (10 days) 104.66K
Average Volume (3 months) 4.31M
Market Cap 600.78M
P/E Ratio 3.08
Shares Outstanding 2.86B
Revenue 1.10B
EPS 0.07
Dividend (Yield %) 9.47619
Beta 0.94
Next Earnings Date N/A

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
Sep 25, 2023 0.2042 0.0000 0.00% 0.2042 0.2042 0.1992
Sep 22, 2023 0.2092 0.0050 2.45% 0.2042 0.2092 0.2042
Sep 21, 2023 0.2092 0.0000 0.00% 0.2092 0.2092 0.2092
Sep 20, 2023 0.2142 0.0000 0.00% 0.2142 0.2142 0.2092
Sep 19, 2023 0.2142 0.0050 2.39% 0.2092 0.2142 0.2092
Sep 15, 2023 0.2142 -0.0050 -2.28% 0.2192 0.2192 0.2142
Sep 14, 2023 0.2142 0.0050 2.39% 0.2092 0.2142 0.2092
Sep 11, 2023 0.2142 -0.0050 -2.28% 0.2192 0.2192 0.2142
Sep 4, 2023 0.2092 0.0000 0.00% 0.2092 0.2092 0.2092
Aug 24, 2023 0.2092 0.0000 0.00% 0.2092 0.2142 0.2092
Aug 22, 2023 0.2192 0.0000 0.00% 0.2192 0.2192 0.2142
Aug 21, 2023 0.2242 0.0000 0.00% 0.2242 0.2242 0.2242
Aug 18, 2023 0.2242 0.0000 0.00% 0.2242 0.2242 0.2242
Aug 15, 2023 0.2242 -0.0050 -2.18% 0.2292 0.2292 0.2242
Aug 14, 2023 0.2292 0.0050 2.23% 0.2242 0.2341 0.2242
Aug 11, 2023 0.2242 0.0000 0.00% 0.2242 0.2292 0.2242
Aug 10, 2023 0.2242 0.0100 4.67% 0.2142 0.2242 0.2092
Aug 8, 2023 0.2142 0.0050 2.39% 0.2092 0.2142 0.2092
Aug 7, 2023 0.2092 0.0000 0.00% 0.2092 0.2092 0.2092
Aug 4, 2023 0.2142 0.0050 2.39% 0.2092 0.2142 0.2092

China Everbright Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 6727.97 6912.37 5663.29 5550.77 4768.32
Revenue 6727.97 6912.37 5663.29 5550.77 4768.32
Cost of Revenue, Total 4163.98 4110.78 3462.76 3658.33 3144.54
Gross Profit 2563.99 2801.59 2200.54 1892.44 1623.78
Total Operating Expense 4840.87 4804.42 3851.24 4021.37 3443.52
Selling/General/Admin. Expenses, Total 710.828 661.818 396.792 419.22 340.955
Depreciation / Amortization
Interest Expense (Income) - Net Operating 15.785 57.615 45.817
Unusual Expense (Income) 0 36.26
Other Operating Expenses, Total -49.723 -62.059 -54.123 -56.183 -41.974
Operating Income 1887.1 2107.96 1812.05 1529.4 1324.8
Interest Income (Expense), Net Non-Operating -505.087 -420.061 -328.764 -334.325 -273.058
Net Income Before Taxes 1382.01 1687.89 1483.29 1195.08 1051.74
Net Income After Taxes 1066.91 1282.99 1086.36 884.729 736.755
Minority Interest -42.01 -82.657 -62.093 -51.246 -60.296
Net Income Before Extra. Items 1024.9 1200.33 1024.27 833.483 676.459
Net Income 1024.9 1200.33 1024.27 833.483 676.459
Income Available to Common Excl. Extra. Items 1010.57 1200.33 1024.27 833.483 676.459
Income Available to Common Incl. Extra. Items 1010.57 1200.33 1024.27 833.483 676.459
Diluted Net Income 1010.57 1200.33 1024.27 833.483 676.459
Diluted Weighted Average Shares 2860.88 2860.88 2860.88 2772.1 2644.32
Diluted EPS Excluding Extraordinary Items 0.35324 0.41957 0.35803 0.30067 0.25582
Dividends per Share - Common Stock Primary Issue 0.10725 0.12714 0.10036 0.07649 0.0569
Diluted Normalized EPS 0.3571 0.43109 0.35813 0.30092 0.25593
Total Adjustments to Net Income -14.334
Jun 2023 Dec 2022 Jun 2022 Dec 2021 Jun 2021
Total revenue 3082 3249.03 3478.94 3799.44 3112.94
Revenue 3082 3249.03 3478.94 3799.44 3112.94
Cost of Revenue, Total 1672.26 1905.01 2258.98 2237.4 1873.38
Gross Profit 1409.74 1344.02 1219.96 1562.04 1239.55
Total Operating Expense 1917.37 2282.98 2557.89 2681.43 2122.99
Selling/General/Admin. Expenses, Total 261.413 408.448 322.235 421.396 249.746
Other Operating Expenses, Total -24.887 -30.473 -23.32 22.636 -0.144
Operating Income 1164.63 966.048 921.049 1118.01 989.949
Interest Income (Expense), Net Non-Operating -284.702 -275.671 -229.416 -213.43 -206.631
Net Income Before Taxes 879.931 690.377 691.633 904.576 783.318
Net Income After Taxes 674.854 516.372 550.537 705.852 577.134
Minority Interest -30.366 -12.831 -29.179 -53.701 -28.956
Net Income Before Extra. Items 644.488 503.541 521.358 652.151 548.178
Net Income 644.488 503.541 521.358 652.151 548.178
Income Available to Common Excl. Extra. Items 632.188 490.509 520.056 652.151 548.178
Income Available to Common Incl. Extra. Items 632.188 490.509 520.056 652.151 548.178
Diluted Net Income 632.188 490.509 520.056 652.151 548.178
Diluted Weighted Average Shares 2860.88 2860.88 2860.88 2860.88 2860.88
Diluted EPS Excluding Extraordinary Items 0.22098 0.17145 0.18178 0.22795 0.19161
Dividends per Share - Common Stock Primary Issue 0.06549 0.05013 0.05533 0.06877 0.0583
Diluted Normalized EPS 0.22181 0.17141 0.18581 0.22835 0.19307
Total Adjustments to Net Income -12.3 -13.032 -1.302
Interest Expense (Income) - Net Operating 8.582
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total Current Assets 8931.54 7431.77 5460.06 4916.63 4765.26
Cash and Short Term Investments 3066.71 2503.88 1702.85 2052.25 2253.92
Cash 2844.99 2281 1702.85 2052.25 1706.87
Total Receivables, Net 5655.99 4579.67 3460.51 2718.45 2324.19
Accounts Receivable - Trade, Net 3361.6 2296.65 1268.07 905.929 671.065
Total Inventory 85.82 70.189 93.641 37.948 40.436
Prepaid Expenses 122.104 277.048 186.376 85.425 125.017
Other Current Assets, Total 0.917 0.985 16.675 22.553 21.702
Total Assets 33446.2 32969.3 26907.5 22683 19584.4
Property/Plant/Equipment, Total - Net 1084.79 1147.9 169.14 167.353 144.779
Property/Plant/Equipment, Total - Gross 1297.17 1317.91 288.301 271.491 238.192
Accumulated Depreciation, Total -212.386 -170.008 -119.161 -104.138 -93.413
Goodwill, Net 1400.95 1531.58 1295.47 1213.51 1242.71
Intangibles, Net 2369.86 2280.92 1880.92 1658.44 1536.17
Long Term Investments 22.492 48.821 463.423 468.771 3.011
Note Receivable - Long Term 19633.3 20494.7 17638.5 14258.3 11887.1
Total Current Liabilities 8918.53 6691.21 4865.03 4557.5 4100.58
Accounts Payable 2278.84 2307.62 1796.45 1959.85 1472.38
Payable/Accrued 710.178 741.42 608.906 370.06 271.82
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 5689.09 3397.26 2255.06 2020.09 2160.4
Other Current Liabilities, Total 111.509 119.274 118.87 122.645 131.205
Total Liabilities 21671.7 21099.2 16373.2 13873 11601.2
Total Long Term Debt 9576.05 11051.1 8834.83 7080.52 5440.38
Long Term Debt 9575.7 11049.9 8831.46 7069.14 5440.38
Deferred Income Tax 1950.69 2063.74 1801.82 1496.26 1379.74
Minority Interest 1226.41 1293.15 871.566 738.683 680.507
Other Liabilities, Total
Total Equity 11774.5 11870.1 10534.3 8810.07 7983.19
Common Stock 2860.88 2860.88 2860.88 2860.88 2676.06
Additional Paid-In Capital 2829.07 2829.07 2829.07 2829.07 2562.48
Retained Earnings (Accumulated Deficit) 6240.48 5581.55 4719.14 3898.09 3247.27
Other Equity, Total -155.947 598.589 125.211 -777.967 -502.623
Total Liabilities & Shareholders’ Equity 33446.2 32969.3 26907.5 22683 19584.4
Total Common Shares Outstanding 2860.88 2860.88 2860.88 2860.88 2676.06
Short Term Investments 221.717 222.88 0 547.05
Accrued Expenses 128.912 125.637 85.745 84.858 64.776
Other Long Term Assets, Total 3.253 33.555 0 5.372
Capital Lease Obligations 0.351 1.168 3.368 11.379
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Total Current Assets 8931.54 9218.36 7431.77 6627.75 5460.06
Cash and Short Term Investments 3067.62 3779.18 2504.87 2285.61 1719.53
Cash & Equivalents 2845.91 3541.47 2281.99 2065.77 1719.53
Short Term Investments 221.717 237.716 222.88 219.839
Total Receivables, Net 5778.1 5378.53 4856.72 4277.13 3646.88
Accounts Receivable - Trade, Net 3767.7 3367.24 2866.25 2371.86 1965.7
Total Inventory 85.82 60.638 70.189 65.004 93.641
Total Assets 33446.2 34514.7 32969.3 30601.7 26907.5
Property/Plant/Equipment, Total - Net 1084.79 1117.61 1147.9 1154.55 169.14
Goodwill, Net 1400.95 1469.56 1531.58 1518.88 1295.47
Intangibles, Net 2369.86 2538.63 2280.92 2026.64 1880.92
Long Term Investments 22.492 24.64 48.821 232.177 463.423
Note Receivable - Long Term 19633.3 20141.3 20522.1 19034.3 17638.5
Other Long Term Assets, Total 3.253 4.645 6.127 7.349
Total Current Liabilities 8918.53 6535.39 6691.21 6156.92 4865.03
Payable/Accrued 710.178 599.755 3215.67 2866.74 2540.94
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 5689.09 3417.27 3397.26 3235.84 2255.06
Other Current Liabilities, Total 111.509 122.822 78.274 54.332 69.029
Total Liabilities 21671.7 22216.6 21099.2 19360.3 16373.2
Total Long Term Debt 9576.05 12393.4 11051.1 10010.9 8834.83
Long Term Debt 9575.7 12392.6 11049.9 10008.6 8831.46
Capital Lease Obligations 0.351 0.727 1.168 2.285 3.368
Deferred Income Tax 1950.69 1993.42 2063.74 1949.99 1801.82
Minority Interest 1226.41 1294.48 1293.15 1242.46 871.566
Total Equity 11774.5 12298.1 11870.1 11241.4 10534.3
Common Stock 2860.88 2860.88 2860.88 2860.88 2860.88
Additional Paid-In Capital 2829.07 2829.07 2829.07 2829.07 2829.07
Retained Earnings (Accumulated Deficit) 6240.48 5906.14 5581.55 5094.05 4719.14
Other Equity, Total -155.947 702.018 598.589 457.372 125.211
Total Liabilities & Shareholders’ Equity 33446.2 34514.7 32969.3 30601.7 26907.5
Total Common Shares Outstanding 2860.88 2860.88 2860.88 2860.88 2860.88
Accounts Payable 2278.84 2259.26
Accrued Expenses 128.912 136.274
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 1382.01 1687.89 1483.29 1195.08 1051.74
Cash From Operating Activities -638.712 -669.141 -1322.34 -1058.12 -1015.65
Cash From Operating Activities 76.667 62.913 26.762 23.55 16.736
Amortization 177.231 59.126 72.536 73.148 72.349
Non-Cash Items 672.845 691.866 415.116 349.913 332.655
Cash Taxes Paid 251.036 199.604 207.594 135.257 148.331
Cash Interest Paid 503.664 380.488 334.334 332.973 268.257
Changes in Working Capital -2947.47 -3170.94 -3320.04 -2699.81 -2489.13
Cash From Investing Activities -353.944 -1136.86 -165.974 -134.018 -53.541
Capital Expenditures -116.979 -29.744 -18.478 -17.885 -11.176
Other Investing Cash Flow Items, Total -236.965 -1107.12 -147.496 -116.133 -42.365
Cash From Financing Activities 1785.38 2321.71 1033.62 1563.19 781.806
Financing Cash Flow Items 309.67 -404.927 15.201 -330.77 -319.687
Total Cash Dividends Paid -356.358 -338.546 -214.002 -29.279 -31.687
Issuance (Retirement) of Stock, Net 0 310.87
Issuance (Retirement) of Debt, Net 1832.07 3065.18 1232.42 1612.37 1133.18
Foreign Exchange Effects -227.821 62.441 105.302 -25.673 -80.161
Net Change in Cash 564.906 578.146 -349.395 345.379 -367.543
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Net income/Starting Line 1382.01 691.633 1687.89 783.318 1483.29
Cash From Operating Activities -638.712 -519.813 -669.141 -385.438 -1322.34
Cash From Operating Activities 76.667 36.244 62.913 27.682 26.762
Amortization 177.231 82.098 59.126 35.592 72.536
Non-Cash Items 672.845 468.639 691.866 270.801 415.116
Cash Taxes Paid 251.036 120.618 199.604 120.991 207.594
Cash Interest Paid 503.664 227.633 380.488 144.09 334.334
Changes in Working Capital -2947.47 -1798.43 -3170.94 -1502.83 -3320.04
Cash From Investing Activities -353.944 -248.009 -1136.86 -930.692 -165.974
Capital Expenditures -116.979 -45.986 -29.744 -8.514 -18.478
Other Investing Cash Flow Items, Total -236.965 -202.023 -1107.12 -922.178 -147.496
Cash From Financing Activities 1785.38 2313.46 2321.71 1635.51 1033.62
Financing Cash Flow Items 309.67 603.428 -404.927 -151.083 15.201
Total Cash Dividends Paid -356.358 -195.032 -338.546 -173.631 -214.002
Issuance (Retirement) of Stock, Net 0
Issuance (Retirement) of Debt, Net 1832.07 1905.06 3065.18 1960.22 1232.42
Foreign Exchange Effects -227.821 -286.115 62.441 41.716 105.302
Net Change in Cash 564.906 1259.52 578.146 361.097 -349.395

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China Everbright Company profile

About China Everbright Water Ltd

China Everbright Water Limited is a China-based investment holding company principally involved in the water environment management business. The Company is engaged in sponge city construction, river-basin ecological restoration, waste water treatment, water supply, reusable water, waste water source heat pump, sludge treatment and disposal, research and development of water environment technologies and engineering construction. The Company operates its businesses in domestic market, including Beijing, Jiangsu, Shandong, Shaanxi, Henan, Hubei, Guangxi Zhuang Autonomous Region, Liaoning and Inner Mongolia Autonomous Region.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, China Everbright Water Ltd revenues increased 22% to HK$6.91B. Net income increased 17% to HK$1.2B. Revenues reflect Germany segment increase from HK$1.9M to HK$5.3M. Net income was partially offset by Admin & other operating expenses increase of 52% to HK$671.1M (expense), Interest expenses increase of 25% to HK$434.8M (expense). Dividend per share increased from HK$0.10 to HK$0.13.

Equity composition

01/2010, Nominal value changed from HKD 0.4 11/2010, Rights Issue, 1 new share for every 1 share held @ SGD .04 (Factor: 1.272728). 05/2014, 1-for-10 Reverse Stock split.

Industry: Sewage Treatment Facilities

福田区深南大道1003号东方新天地广场a座26楼
SHENZHEN
GUANGDONG 518000
CN

Income Statement

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