google-play

Scan to Download iOS&Android APP

Trade Cineworld Group PLC - CINE CFD

0.02677
5.12%
0.00100
Low: 0.02655
High: 0.02856
Market Trading Hours* (UTC) Open now
Closes on Tuesday at 15:30

Mon - Fri: 07:00 - 15:30

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0280%
Short position overnight fee -0.0158%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency GBP
Margin 20%
Stock exchange United Kingdom of Great Britain and Northern Ireland
Commission on trade 0%

*Information provided by Capital.com

Cineworld Group PLC 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.

Key Stats
Prev. Close* 0.02833
Open* 0.02836
1-Year Change* -96.03%
Day's Range* 0.02655 - 0.02655
52 wk Range 0.018-0.8516
Average Volume (10 days) 51.4359
Average Volume (3 months) 1217.42
Market Cap 39.0891
P/E Ratio N/A
Shares Outstanding 1373430000
Revenue 1689.35
EPS -0.38573
Dividend (Yield %) N/A
Beta 3.78976
Next Earnings Date Sep 30, 2022

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 26, 2022 0.02833 -0.00040 -1.39% 0.02873 0.02946 0.02738
Sep 23, 2022 0.02825 -0.00154 -5.17% 0.02979 0.03117 0.02825
Sep 22, 2022 0.02927 -0.00086 -2.85% 0.03013 0.03013 0.02706
Sep 21, 2022 0.02926 -0.00100 -3.30% 0.03026 0.03074 0.02895
Sep 20, 2022 0.02994 0.00346 13.07% 0.02648 0.03176 0.02644
Sep 16, 2022 0.02784 -0.00103 -3.57% 0.02887 0.03025 0.02534
Sep 15, 2022 0.02934 0.00032 1.10% 0.02902 0.03050 0.02821
Sep 14, 2022 0.02901 0.00002 0.07% 0.02899 0.03181 0.02852
Sep 13, 2022 0.02890 -0.00014 -0.48% 0.02904 0.03200 0.02834
Sep 12, 2022 0.03025 -0.00971 -24.30% 0.03996 0.04294 0.02976
Sep 9, 2022 0.04131 -0.00128 -3.01% 0.04259 0.05003 0.04030
Sep 8, 2022 0.04097 -0.00260 -5.97% 0.04357 0.04943 0.03750
Sep 7, 2022 0.04357 0.00579 15.33% 0.03778 0.05053 0.03464
Sep 6, 2022 0.03776 -0.01956 -34.12% 0.05732 0.06227 0.02761
Sep 5, 2022 0.05737 0.00573 11.10% 0.05164 0.06270 0.05041
Sep 2, 2022 0.04574 0.00153 3.46% 0.04421 0.06712 0.04301
Sep 1, 2022 0.04451 0.01245 38.83% 0.03206 0.05550 0.02764
Aug 31, 2022 0.03101 0.00905 41.21% 0.02196 0.03637 0.02007
Aug 30, 2022 0.02196 -0.00100 -4.36% 0.02296 0.02341 0.01819
Aug 26, 2022 0.01896 -0.00095 -4.77% 0.01991 0.02126 0.01809

Cineworld Group PLC Events

 (UTC)
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 978.26 1147 4119.1 4369.7 852.3 1804.9
Revenue 978.26 1147 4119.1 4369.7 852.3 1804.9
Cost of Revenue, Total 717.08 844.3 3125.4 2749.1 888.1 1263.2
Gross Profit 261.18 302.7 993.7 1620.6 -35.8 541.7
Total Operating Expense 839.945 982 3626.2 3645 3076.8 1789.1
Selling/General/Admin. Expenses, Total 54.811 52 104.2 91.8 52.7 29.6
Depreciation / Amortization 71.8551 87.8 320.5 729.8 643.3 534.9
Interest Expense (Income) - Net Operating 0
Unusual Expense (Income) -0.490479 2.4 76.6 59.7 1438.6 -56.5
Other Operating Expenses, Total -3.31073 -4.5 -0.5 14.6 54.1 17.9
Operating Income 138.315 165 492.9 724.7 -2224.5 15.8
Interest Income (Expense), Net Non-Operating -16.3084 -8.2 -86.4 -465.2 -740.4 -633.8
Other, Net -1.59406 -1.7 -57.5 -47.2 -43 -90.3
Net Income Before Taxes 120.412 155.1 349 212.3 -3007.9 -708.3
Net Income After Taxes 100.548 129.5 284.3 180.3 -2651.5 -565.8
Net Income Before Extra. Items 100.548 129.5 284.3 180.3 -2651.5 -565.8
Net Income 100.548 129.5 284.3 180.3 -2651.5 -565.8
Income Available to Common Excl. Extra. Items 100.548 129.5 284.3 180.3 -2651.5 -565.8
Income Available to Common Incl. Extra. Items 100.548 129.5 284.3 180.3 -2651.5 -565.8
Dilution Adjustment 0 0
Diluted Net Income 100.548 129.5 284.3 180.3 -2651.5 -565.8
Diluted Weighted Average Shares 611.885 615.6 1268.3 1375.2 1372.4 1373
Diluted EPS Excluding Extraordinary Items 0.164323 0.21036 0.22416 0.13111 -1.93202 -0.41209
Dividends per Share - Common Stock Primary Issue 0.103037 0.07774 0.14913 0
Diluted Normalized EPS 0.16366 0.21362 0.27336 0.16798 -1.25066 -0.43884
Q4 2019 Q2 2020 Q4 2020 Q2 2021 Q4 2021
Total revenue 2218.5 712.4 139.9 292.8 1512.1
Revenue 2218.5 712.4 139.9 292.8 1512.1
Cost of Revenue, Total 1392.5 624.9 263.2 283.2 980
Gross Profit 826 87.5 -123.3 9.6 532.1
Total Operating Expense 1883 2053.3 1023.5 501.7 1287.4
Selling/General/Admin. Expenses, Total 67.3 34.3 18.4 -15.2 44.8
Depreciation / Amortization 369.7 362.8 280.5 268.4 266.5
Unusual Expense (Income) 56.5 1001.8 436.8 -52 -4.5
Other Operating Expenses, Total -3 29.5 24.6 17.3 0.6
Operating Income 335.5 -1340.9 -883.6 -208.9 224.7
Interest Income (Expense), Net Non-Operating -383.7 -281 -459.4 -347.1 -286.7
Other, Net 120.8 -22.8 -20.2 -20.4 -69.9
Net Income Before Taxes 72.6 -1644.7 -1363.2 -576.4 -131.9
Net Income After Taxes 62.9 -1582.5 -1069 -515.2 -50.6
Net Income Before Extra. Items 62.9 -1582.5 -1069 -515.2 -50.6
Net Income 62.9 -1582.5 -1069 -515.2 -50.6
Income Available to Common Excl. Extra. Items 62.9 -1582.5 -1069 -515.2 -50.6
Income Available to Common Incl. Extra. Items 62.9 -1582.5 -1069 -515.2 -50.6
Dilution Adjustment 0 0 0
Diluted Net Income 62.9 -1582.5 -1069 -515.2 -50.6
Diluted Weighted Average Shares 1376.5 1372 1372.8 1372.9 1373.1
Diluted EPS Excluding Extraordinary Items 0.0457 -1.15343 -0.7787 -0.37526 -0.03685
Dividends per Share - Common Stock Primary Issue 0 0 0
Diluted Normalized EPS 0.08126 -0.67881 -0.57188 -0.39988 -0.03898
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 172 211.5 678.4 448.5 613.1 533.2
Cash and Short Term Investments 68.6 91 316.3 140.6 336.7 354.3
Cash & Equivalents 68.6 91 316.3 140.6 336.7 354.3
Total Receivables, Net 91.3 53 243 231.9 239.4 118.2
Accounts Receivable - Trade, Net 91.3 39.9 188.7 187.8 10.6 96.5
Total Inventory 12.1 13.9 35.1 33.2 13.2 24.3
Other Current Assets, Total 0 2.2 2.5 11.3 2.9 9.8
Total Assets 1598.6 1897 9703.7 12450.5 10625.2 10370.7
Property/Plant/Equipment, Total - Net 549.3 701.3 2446.3 5480.7 4094.6 3932.2
Property/Plant/Equipment, Total - Gross 798.5 1041.3 3011.9 6289.6 5388.3 5355.9
Accumulated Depreciation, Total -249.2 -340 -565.6 -808.9 -1293.7 -1423.7
Goodwill, Net 802.1 911 5482.4 5492.1 4868.3 4837.1
Intangibles, Net 66.7 63.8 542.3 515.6 489.5 464.6
Long Term Investments 1.2 1.6 316 310.2 225.1 136.1
Note Receivable - Long Term 7.3 7.8 206.7 64.6 48.7 48.8
Other Long Term Assets, Total 0 0 31.6 138.8 285.9 418.7
Total Current Liabilities 261.8 249.7 1209.2 1490.4 1663.8 1561.6
Payable/Accrued 216.8
Notes Payable/Short Term Debt 0 0.6 60.9 133.9 21.8 20.3
Current Port. of LT Debt/Capital Leases 20.7 20.2 20.5 321.6 629 697.1
Other Current Liabilities, Total 24.3 89.3 741.4 598 706.9 384.6
Total Liabilities 781.6 852.3 6283.4 9512.8 10398.9 10715.7
Total Long Term Debt 396.6 446 3968.3 7361.3 7983.6 8512.4
Long Term Debt 396.6 426.2 3885.3 3485.4 4608.5 5020.1
Deferred Income Tax 15.7 13.8 9.7 0
Other Liabilities, Total 107.5 142.8 1096.2 661.1 751.5 641.7
Total Equity 817 1044.7 3420.3 2937.7 226.3 -345
Common Stock 4.9 5 20.1 20.1 20.1 20.1
Additional Paid-In Capital 561.4 548.1 513.8 516 513.8 513.8
Retained Earnings (Accumulated Deficit) 508.7 632.3 3157.3 2645.2 -57.5 -616.6
Unrealized Gain (Loss) 0 0 -6.9 -14.4 -14.4 -8.9
Other Equity, Total -258 -140.7 -264 -229.2 -235.7 -253.4
Total Liabilities & Shareholders’ Equity 1598.6 1897 9703.7 12450.5 10625.2 10370.7
Total Common Shares Outstanding 605.059 619.383 1371.16 1371.95 1372.8 1373
Prepaid Expenses 51.4 81.5 31.5 20.9 26.6
Accounts Payable 38.2 75.1 127.4 169 108.7
Accrued Expenses 101.4 311.3 309.5 137.1 350.9
Capital Lease Obligations 19.8 83 3875.9 3375.1 3492.3
Dec 2019 Jun 2020 Dec 2020 Jun 2021 Dec 2021
Total Current Assets 448.5 508.6 613.1 557.7 533.2
Cash and Short Term Investments 140.6 285.4 336.7 436.5 354.3
Cash & Equivalents 140.6 285.4 336.7 436.5 354.3
Total Receivables, Net 263.4 204.4 260.3 85.5 144.8
Accounts Receivable - Trade, Net 263.4 58.6 53.7 84.1 142.1
Total Inventory 33.2 17.9 13.2 15.5 24.3
Other Current Assets, Total 11.3 0.9 2.9 20.2 9.8
Total Assets 12450.5 11253.3 10625.2 10399.8 10370.7
Property/Plant/Equipment, Total - Net 5480.7 4734.9 4094.6 3890.7 3932.2
Goodwill, Net 5492.1 5106.8 4868.3 4864.1 4837.1
Intangibles, Net 515.6 500.4 489.5 477.1 464.6
Long Term Investments 310.2 281.2 225.1 211.8 136.1
Note Receivable - Long Term 64.6 59.6 48.7 50.1 48.8
Other Long Term Assets, Total 138.8 61.8 285.9 348.3 418.7
Total Current Liabilities 1490.4 1316 1663.8 1772.9 1561.6
Payable/Accrued 712.1 547.2 596.3 670.9 526.2
Notes Payable/Short Term Debt 133.9 11.7 21.8 21.7 20.3
Current Port. of LT Debt/Capital Leases 321.6 433.2 629 644.6 697.1
Other Current Liabilities, Total 322.8 323.9 416.7 435.7 318
Total Liabilities 9512.8 9998.6 10398.9 10676.4 10715.7
Total Long Term Debt 7361.3 8029.7 7983.6 8206.2 8512.4
Long Term Debt 3485.4 4196.2 4608.5 4802.5 5020.1
Capital Lease Obligations 3875.9 3833.5 3375.1 3403.7 3492.3
Deferred Income Tax 0 10.7
Other Liabilities, Total 661.1 642.2 751.5 697.3 641.7
Total Equity 2937.7 1254.7 226.3 -276.6 -345
Common Stock 20.1 20.1 20.1 20.1 20.1
Additional Paid-In Capital 516 516 513.8 513.8 513.8
Retained Earnings (Accumulated Deficit) 2645.2 1011.6 -57.5 -569.6 -616.6
Unrealized Gain (Loss) -14.4 -14.4 -14.4 -8.9 -8.9
Other Equity, Total -229.2 -278.6 -235.7 -232 -253.4
Total Liabilities & Shareholders’ Equity 12450.5 11253.3 10625.2 10399.8 10370.7
Total Common Shares Outstanding 1371.95 1371.95 1372.8 1372.8 1373
Property/Plant/Equipment, Total - Gross 5848.8 5388.3 5249.8 5355.9
Accumulated Depreciation, Total -1113.9 -1293.7 -1359.1 -1423.7
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 100.548 129.5 284.3 180.3 -2651.5 -565.8
Cash From Operating Activities 184.052 228.1 631.9 1293.7 -227.6 555.1
Cash From Operating Activities 71.8551 87.8 320.5 729.8 643.3 534.9
Non-Cash Items 36.1728 20.9 251.5 584 1742.4 428.6
Cash Taxes Paid 12.0167 15.4 55.5 108.1 -6.2 -201.1
Cash Interest Paid 9.56433 8.5 146.7 165.5 158.3 227.3
Changes in Working Capital -24.5239 -10.1 -224.4 -200.4 38.2 157.4
Cash From Investing Activities -159.773 -142.8 -3559.1 141 -264.3 -322
Capital Expenditures -102.633 -137.1 -160.5 -460.8 -292.5 -156.4
Other Investing Cash Flow Items, Total -57.1408 -5.7 -3398.6 601.8 28.2 -165.6
Cash From Financing Activities -41.5681 -74.7 3145.6 -1601.8 675.4 -211.2
Financing Cash Flow Items -9.56433 -8.5 -146.7 -137.1 -228.2 -281.4
Total Cash Dividends Paid -57.6312 -69.7 -122.9 -520.2 -51.4 0
Issuance (Retirement) of Stock, Net 0.367859 1.2 2341 0
Issuance (Retirement) of Debt, Net 25.2596 2.3 1074.2 -944.5 955 70.2
Foreign Exchange Effects 9.07385 11.8 6.9 -8.6 12.6 -4.3
Net Change in Cash -8.21552 22.4 225.3 -175.7 196.1 17.6
Dec 2019 Jun 2020 Dec 2020 Jun 2021 Dec 2021
Net income/Starting Line 180.3 -1582.5 -2651.5 -515.2 -565.8
Cash From Operating Activities 1293.7 -6.5 -227.6 171.2 555.1
Cash From Operating Activities 729.8 362.8 643.3 268.4 534.9
Non-Cash Items 584 1208.2 1742.4 194.5 428.6
Cash Taxes Paid 108.1 5.2 -6.2 -204.4 -201.1
Cash Interest Paid 165.5 40.5 158.3 111.2 227.3
Changes in Working Capital -200.4 5 38.2 223.5 157.4
Cash From Investing Activities 141 -183.8 -264.3 -48.5 -322
Capital Expenditures -460.8 -201.1 -292.5 -50 -156.4
Other Investing Cash Flow Items, Total 601.8 17.3 28.2 1.5 -165.6
Cash From Financing Activities -1601.8 327.6 675.4 -21.2 -211.2
Financing Cash Flow Items -137.1 -39.5 -228.2 -125.9 -281.4
Total Cash Dividends Paid -520.2 -51.4 -51.4 0 0
Issuance (Retirement) of Stock, Net 0
Issuance (Retirement) of Debt, Net -944.5 418.5 955 104.7 70.2
Foreign Exchange Effects -8.6 7.5 12.6 -1.7 -4.3
Net Change in Cash -175.7 144.8 196.1 99.8 17.6

Why choose Capital.com? Our numbers speak for themselves.

Capital.com Group
450000+

Traders

76000+

Active clients monthly

$54000000+

Monthly investing volume

$29000000+

Withdrawn each month

CFD Trading calculator

Calculate your hypothetical P&L if you had opened a trade today #current date# at the market opening price:

Market
  • Cineworld Group
Investment
Position size 100
Leverage
Opening price
Current price
Spread
Trade commission 0
Past performance is not a reliable indicator of future results
Profit/Loss

Cineworld Group Company profile

About Cineworld Group plc

Cineworld Group plc (Cineworld) is a United Kingdom-based international cinema chain. The Company is operating in approximately 10 countries with around 787 sites and 9,500 screens. Cineworld operates in the United Kingdom (UK), Ireland, Poland, the Czech Republic, Slovakia, Hungary, Bulgaria, Romania, Israel and the United States (US). The Company operates in the following segments: the US; the UK and Ireland (UK&I) and the rest of the world (ROW). The US segment includes three cinema chain brands Regal, United Artists and Edwards Theatres. UK&I segment includes two cinema chain brands, Cineworld and Picturehouse. The ROW operating segment includes the cinema chain brands Cinema City in Central and Eastern Europe territories, and Yes Planet and Rav-Chen in Israel. The ROW reporting segment also includes Poland, Romania, Hungary, the Czech Republic, Bulgaria, Slovakia and Israel. The Company's subsidiaries include Crown UK Holdco Limited, Augustus 1 Limited and Cinema City Holding B.V.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Cineworld Group plc revenues increased from $852.3M to $1.8B. Net loss decreased 79% to $565.8M. Revenues reflect an increase in demand for the Company's products and services due to favorable market conditions. Lower net loss reflects COVID-19 Impairment of Long-Term Assets decrease from $1.34B (expense) to $127.1M (income).

Equity composition

01/2014, Rights Issue, 8 new shares for every 25 shares held @ GBp 230 (Factor: 1.113557).

Industry: Movie Theaters & Movie Products

8th Fl
Vantage London
BRENTFORD
MIDDLESEX TW8 9AG
GB

Income statement

People Also Watch

BTC/USD

20,294.35 Price
+5.790% 1D Chg, %
Long position overnight fee -0.0500%
Short position overnight fee 0.0140%
Overnight fee time 21:00 (UTC)
Spread 66.00

US100

11,430.00 Price
+1.520% 1D Chg, %
Long position overnight fee -0.0137%
Short position overnight fee 0.0041%
Overnight fee time 21:00 (UTC)
Spread 1.7

Oil - Crude

77.58 Price
+1.830% 1D Chg, %
Long position overnight fee 0.0115%
Short position overnight fee -0.0280%
Overnight fee time 21:00 (UTC)
Spread 0.03

Natural Gas

7.19 Price
+2.140% 1D Chg, %
Long position overnight fee -0.0971%
Short position overnight fee 0.0673%
Overnight fee time 21:00 (UTC)
Spread 0.005

Still looking for a broker you can trust?

Join the 450.000+ traders worldwide that chose to trade with Capital.com

1. Create & verify your account 2. Make your first deposit 3. You’re all set. Start trading