差價合約是複雜的工具,並且由於槓桿作用而具有快速虧損的高風險。 84% 的散戶投資者賬戶在與該提供商交易差價合約時虧損您應該考慮自己是否了解差價合約的運作方式,以及您是否有能力承擔損失資金的高風險。

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交易 Enjoy Technology, Inc. - ENJY CFD

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  • 概括
  • 曆史數據
  • 活動
  • 收入報表
  • 資産負債表
  • 現金流
  • 所有權
交易條件
價差 -
多頭倉位隔夜費用

Long position overnight fee


Margin. Your investment $1,000.00
隔夜費用 -0.024068 %
Charges from borrowed part ($-0.96)
Trade size with leverage ~ $5,000.00
來自槓桿的資金 ~ $4,000.00

前往平台
-0.024068%
空頭倉位隔夜費用

Short position overnight fee


Margin. Your investment $1,000.00
隔夜費用 0.001846 %
Charges from borrowed part ($0.07)
Trade size with leverage ~ $5,000.00
來自槓桿的資金 ~ $4,000.00

前往平台
0.001846%
隔夜費時間 21:00 (UTC)
最小成交量 1
貨幣 USD
保證金 20%
股票交易 United States of America
交易委員會 0%

*Information provided by Capital.com

關鍵數據
前收盤價* N/A
開盤價* N/A
1 年變化* N/A
日範圍* N/A
52 周範圍 0.01-6.71
平均交易量(10 天) 69.46K
平均交易量(3 個月) 5.23M
市值 1.46M
市盈率 -100.00K
流通股 121.80M
收入 80.51M
EPS -2.02
股息(收益率 %) N/A
貝塔 -100.00K
下一個財報發布日期 N/A

所有數據都是由Refinitiv提供的, 除了標有星號的數據, 這是*由 Capital.com 提供的數據

  • 上週
  • 上個月
  • 去年
  • 過去兩年
  • 最大
  • 每日
  • 每週
  • 每月
日期 關閉 更改 變化 (%) 打開

Enjoy Technology, Inc. Events

时间(协调世界时) (UTC) 国家 事件
No events scheduled
查看所有活动
  • 年度
  • 每季度
2021 2020 2019
總收入 80.998 60.323 45.657
收入 80.998 60.323 45.657
收入成本,共計 112.91 76.045 54.051
毛利 -31.912 -15.722 -8.394
總營業費用 262.842 171.95 135.415
銷售/一般/行政費用,總計 149.932 95.905 81.364
營業收入 -181.844 -111.627 -89.758
利息收入(費用),非經營淨值 -8.516 -1.727 0.223
其他,淨值 -30.331 -44.333 -0.081
稅前淨收入 -220.691 -157.687 -89.616
稅後淨收入 -220.609 -157.784 -89.694
未計算非常項目前的淨收益 -220.609 -157.784 -89.694
淨收入 -220.609 -157.784 -89.694
普通股股東可獲收益 (不含非經常性項目) -220.609 -157.784 -89.694
普通股股東可獲收益 (含非經常性項目) -220.609 -157.784 -89.694
攤薄淨收入 -220.609 -157.784 -89.694
攤薄後加權平均股 119.172 119.172 119.172
扣除特別項目的每股攤薄盈利 -1.85118 -1.324 -0.75264
Dividends per Share - Common Stock Primary Issue 0 0 0
每股正常攤薄盈利 -1.85118 -1.324 -0.75264
Mar 2022 Dec 2021 Jun 2021 Mar 2021 Dec 2020
總收入 24.024 80.998 20.865 19.346 60.323
收入 24.024 80.998 20.865 19.346 60.323
收入成本,共計 34.81 112.91 27.419 24.168 76.045
毛利 -10.786 -31.912 -6.554 -4.822 -15.722
總營業費用 81.822 262.842 58.18 55.499 171.95
銷售/一般/行政費用,總計 47.012 149.932 30.761 31.331 95.905
營業收入 -57.798 -181.844 -37.315 -36.153 -111.627
利息收入(費用),非經營淨值 -0.036 -8.516 -1.408 -1.405 -1.727
其他,淨值 2.623 -30.331 -17.201 -1.731 -44.333
稅前淨收入 -55.211 -220.691 -55.924 -39.289 -157.687
稅後淨收入 -55.245 -220.609 -55.959 -39.466 -157.784
未計算非常項目前的淨收益 -55.245 -220.609 -55.959 -39.466 -157.784
淨收入 -55.245 -220.609 -55.959 -39.466 -157.784
普通股股東可獲收益 (不含非經常性項目) -55.245 -220.609 -55.959 -39.466 -157.784
普通股股東可獲收益 (含非經常性項目) -55.245 -220.609 -55.959 -39.466 -157.784
攤薄淨收入 -55.245 -220.609 -55.959 -39.466 -157.784
攤薄後加權平均股 119.796 119.172 119.172 119.172 119.172
扣除特別項目的每股攤薄盈利 -0.46116 -1.85118 -0.46957 -0.33117 -1.324
Dividends per Share - Common Stock Primary Issue 0 0 0 0 0
每股正常攤薄盈利 -0.46116 -1.85118 -0.46957 -0.33117 -1.324
  • 年度
  • 每季度
2021 2020 2019
流動資産總額 101.682 71.264 103.973
現金和短期投資 85.836 58.452 84.195
現金等價物 85.836 58.452 61.685
短期投資 0 22.51
應收賬款總額,淨額 9.977 4.544 12.847
Accounts Receivable - Trade, Net 9.977 4.544 12.847
Prepaid Expenses 4.159 2.774 2.602
Other Current Assets, Total 1.71 5.494 4.329
Total Assets 125.125 91.21 116.525
Property/Plant/Equipment, Total - Net 15.945 14.074 9.109
Property/Plant/Equipment, Total - Gross 23.666 18.453 11.419
Accumulated Depreciation, Total -7.721 -4.379 -2.31
Intangibles, Net 0.867 0.967 1.067
Other Long Term Assets, Total 6.631 4.905 2.376
Total Current Liabilities 26.212 23.224 23.483
Accounts Payable 6.102 3.222 3.297
Accrued Expenses 16.558 14.021 6.684
Notes Payable/Short Term Debt 0 2.105 10.102
Other Current Liabilities, Total 3.552 3.876 3.4
Total Liabilities 32.789 151.965 23.82
Total Long Term Debt 0 127.935 0
Long Term Debt 0 127.935 0
Other Liabilities, Total 6.577 0.806 0.337
Total Equity 92.336 -60.755 92.705
Redeemable Preferred Stock 0 353.692 353.692
Common Stock 0.012 0.001 0.001
Additional Paid-In Capital 734.142 6.601 3.162
Retained Earnings (Accumulated Deficit) -642.542 -421.933 -264.339
Other Equity, Total 0.724 0.884 0.189
Total Liabilities & Shareholders’ Equity 125.125 91.21 116.525
Total Common Shares Outstanding 119.625 119.172 119.172
Mar 2022 Dec 2021 Jun 2021 Mar 2021 Dec 2020
流動資産總額 47.593 101.682 70.771
現金和短期投資 37.277 85.836 58.656
現金等價物 37.277 85.836 58.656
應收賬款總額,淨額 5.355 9.977 3.551
Accounts Receivable - Trade, Net 5.355 9.977 3.551
Prepaid Expenses 3.251 4.159 3.07
Other Current Assets, Total 1.71 1.71 5.494
Total Assets 111.611 125.125 98.64
Property/Plant/Equipment, Total - Net 56.516 15.945 14.342
Property/Plant/Equipment, Total - Gross 65.016 23.666 20.437
Accumulated Depreciation, Total -8.5 -7.721 -6.095
Intangibles, Net 0.842 0.867 0.917
Other Long Term Assets, Total 6.66 6.631 12.61
Total Current Liabilities 36.848 26.212 106.109
Accounts Payable 5.961 6.102 4.846
Accrued Expenses 30.887 16.558 16.949
Notes Payable/Short Term Debt 0 0 4.436
Current Port. of LT Debt/Capital Leases 75.845
Other Current Liabilities, Total 0 3.552 4.033
Total Liabilities 69.956 32.789 199.727
Total Long Term Debt 0 0 93.043
Long Term Debt 0 93.043
Other Liabilities, Total 33.108 6.577 0.575
Total Equity 41.655 92.336 -101.087
Redeemable Preferred Stock 0 368.692
Common Stock 0.012 0.012 0.001
Additional Paid-In Capital 738.908 734.142 46.798
Retained Earnings (Accumulated Deficit) -697.787 -642.542 -517.358
Other Equity, Total 0.522 0.724 0.78
Total Liabilities & Shareholders’ Equity 111.611 125.125 98.64
Total Common Shares Outstanding 120.112 119.625 119.172
  • 年度
  • 每季度
2021 2020 2019
淨收入/起跑線 -220.609 -157.784 -89.694
經營活動産生的現金 -174.618 -95.342 -90.295
經營活動産生的現金 4.028 3.138 1.755
非現金物品 45.012 46.425 1.241
Cash Taxes Paid 0.018 0.097 0.023
已付現金利息 4.155 2.003 1.405
營運資金的變化 -3.049 12.879 -3.597
投資活動産生的現金 -6.403 14.498 -29.398
資本支出 -6.403 -8.012 -6.883
其他投資現金流量項目,總計 0 22.51 -22.515
融資活動産生的現金 204.648 78.427 167.559
融資現金流項目 160.649 -0.884 -7.947
股票的發行(報廢),淨額 16.799 0.333 175.506
債務的發行(退還),淨額 27.2 78.978 0
外彙效應 -0.027 0.349 -0.217
現金淨變化 23.6 -2.068 47.649
Mar 2022 Dec 2021 Jun 2021 Mar 2021 Dec 2020
Net income/Starting Line -55.245 -220.609 -95.425 -39.466 -157.784
Cash From Operating Activities -47.76 -174.618 -71.844 -35.268 -95.342
Cash From Operating Activities 1.155 4.028 1.882 0.916 3.138
Non-Cash Items 6.737 45.012 21.647 2.927 46.425
Cash Taxes Paid 0.018 0.097
Cash Interest Paid 0.038 4.155 2.153 1.083 2.003
Changes in Working Capital -0.407 -3.049 0.052 0.355 12.879
Cash From Investing Activities -0.437 -6.403 -1.389 -0.537 14.498
Capital Expenditures -0.437 -6.403 -1.389 -0.537 -8.012
Other Investing Cash Flow Items, Total 0 0 22.51
Cash From Financing Activities -0.355 204.648 73.758 14.928 78.427
Financing Cash Flow Items -0.473 160.649 -2.947 -0.695 -0.884
Issuance (Retirement) of Stock, Net 0.118 16.799 16.505 15.423 0.333
Issuance (Retirement) of Debt, Net 0 27.2 60.2 0.2 78.978
Foreign Exchange Effects -0.007 -0.027 -0.32 -0.026 0.349
Net Change in Cash -48.559 23.6 0.205 -20.903 -2.068

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