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交易 Ginebra San Miguel Inc. - GBSMF CFD

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  • 概括
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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 94.20-117.00
平均交易量(10 天) 18.13K
平均交易量(3 個月) 750.40K
市值 32.10B
市盈率 7.31
流通股 286.33M
收入 46.35B
EPS 15.34
股息(收益率 %) 1.33809
貝塔 0.69
下一個財報發布日期 Apr 11, 2023

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
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  • 每週
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日期 關閉 更改 變化 (%) 打開

Ginebra San Miguel 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
2016 2017 2018 2019 2020 2021
總收入 18572.5 20892.4 24835 29063.2 36201.8 42534.1
收入 18572.5 20892.4 24835 29063.2 36201.8 42534.1
收入成本,共計 13886.8 15624.7 18359.9 21127.3 26993.1 31760.9
毛利 4685.73 5267.73 6475.1 7935.93 9208.68 10773.3
總營業費用 17655.8 19585.1 23114.4 26296.1 32395.8 37241.2
銷售/一般/行政費用,總計 3406.44 3615.82 4271.8 4607.72 4956.96 5054.15
研究與開發 30.792 36.665 47.813 67.939 33.454 36.722
Depreciation / Amortization 331.758 307.933 323.782 382.091 412.239 389.478
營業收入 916.744 1307.31 1720.6 2767.14 3806.02 5292.9
利息收入(費用),非經營淨值 -474.389 -445.75 -289.574 -343.717 -3.24 -103.839
Gain (Loss) on Sale of Assets 1.343 -2.097 0.622 1.532 -14.891 5.583
其他,淨值 65 88.983 132.108 196.387 215.919 366.022
稅前淨收入 508.698 948.448 1563.76 2621.34 4003.81 5560.67
稅後淨收入 361.385 602.243 1053.04 1671.79 2756.51 4178.94
未計算非常項目前的淨收益 361.385 602.243 1053.04 1671.79 2756.51 4178.94
淨收入 361.385 602.243 1053.04 1671.79 2756.51 4178.94
Total Adjustments to Net Income -49.18 -49.18 -49.18 -49.18 -49.18 -0.546
普通股股東可獲收益 (不含非經常性項目) 312.205 553.063 1003.86 1622.61 2707.33 4178.39
普通股股東可獲收益 (含非經常性項目) 312.205 553.063 1003.86 1622.61 2707.33 4178.39
攤薄淨收入 312.205 553.063 1003.86 1622.61 2707.33 4178.39
攤薄後加權平均股 286.328 286.328 286.326 286.328 286.328 286.328
扣除特別項目的每股攤薄盈利 1.09038 1.93157 3.506 5.66696 9.45535 14.593
每股正常攤薄盈利 1.08704 1.93622 3.76584 5.91087 9.49115 14.5784
Dividends per Share - Common Stock Primary Issue 0 0.25 1 1 1.125
異常費用(收入) 111.106 111.04 0 0
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
總收入 11338.4 20228.2 10492.1 11813.8 12620
收入 11338.4 20228.2 10492.1 11813.8 12620
收入成本,共計 8693.48 15082.4 7645.26 9033.2 9397.55
毛利 2644.95 5145.75 2846.86 2780.65 3222.45
總營業費用 10048.7 17614.2 9027.61 10599.4 10824
銷售/一般/行政費用,總計 1355.2 2531.8 1382.35 1566.2 1426.48
營業收入 1289.76 2613.95 1464.52 1214.44 1795.97
利息收入(費用),非經營淨值 -0.965 -1.788 2.384 -10.335 4.678
Gain (Loss) on Sale of Assets 0.251 3.893 1.4 0.29 0.629
其他,淨值 75.783 144.723 -25.994 153.193 63.361
稅前淨收入 1364.82 2760.77 1442.31 1357.59 1864.64
稅後淨收入 1042.41 2087.12 1083.19 1008.63 1399.48
未計算非常項目前的淨收益 1042.41 2087.12 1083.19 1008.63 1399.48
淨收入 1042.41 2087.12 1083.19 1008.63 1399.48
Total Adjustments to Net Income -0.547 -0.546 0
普通股股東可獲收益 (不含非經常性項目) 1041.87 2087.12 1083.19 1008.08 1399.48
普通股股東可獲收益 (含非經常性項目) 1041.87 2087.12 1083.19 1008.08 1399.48
攤薄淨收入 1041.87 2087.12 1083.19 1008.08 1399.48
攤薄後加權平均股 286.328 286.328 286.328 286.328 286.328
扣除特別項目的每股攤薄盈利 3.63872 7.28925 3.78305 3.52073 4.8877
Dividends per Share - Common Stock Primary Issue 0.25 0.5 0.25 0.375 0.375
每股正常攤薄盈利 3.63805 7.27897 3.77937 3.51998 4.88605
  • 年度
  • 每季度
2016 2017 2018 2019 2020 2021
流動資産總額 7774.94 6657.58 6938.15 9099.37 10874.1 13269.5
現金和短期投資 777.305 198.767 224.475 354.131 2819.57 2379.17
Cash 317.827 119.481 132.271 234.631 308.174 489.266
短期投資 459.478 79.286 92.204 119.5 2511.4 1889.9
應收賬款總額,淨額 2466.74 1714.66 1743.04 1551.47 953.698 1036.75
Accounts Receivable - Trade, Net 2181.06 1428.29 543.001 475.59 -35.727 107.988
Total Inventory 3034.59 3323.66 3897.94 6113.04 5946.81 8730.04
Prepaid Expenses 1423.04 1373.74 1031.27 1040.22 1070.2 1090.29
Other Current Assets, Total 73.28 46.754 41.429 40.502 83.844 33.236
Total Assets 15161.9 13317.3 12986.5 14659.2 16054 18397
Property/Plant/Equipment, Total - Net 5356.66 4997.52 4661.4 4637.35 4378.19 4412.33
Property/Plant/Equipment, Total - Gross 12478.1 12584 12786.1 13316.6 13224.2 13776.7
Accumulated Depreciation, Total -7121.43 -7586.51 -8124.74 -8679.29 -8845.99 -9364.39
Goodwill, Net 126.863 126.863 126.863 126.863 126.863 126.863
Intangibles, Net 52.593 39.359 32.632 18.313 9.739 37.196
Long Term Investments 465.637 346.29 280.413 57.963 4.451 0
Note Receivable - Long Term 42.72 1.126 1.326 0.493 0.493 0.493
Other Long Term Assets, Total 1342.53 1148.54 945.695 718.869 660.181 550.648
Total Current Liabilities 10184.9 7766.37 5602.92 6375.69 5720.31 5956.4
Accounts Payable 1262.31 1144.85 2638.28 4135.29 5017.53 5019.29
Notes Payable/Short Term Debt 7998.11 5532.34 2476.1 1519 0 0
Current Port. of LT Debt/Capital Leases 114.286 114.285 116.148 301.771 197.141 222.277
Other Current Liabilities, Total 810.236 889.454 372.393 419.634 505.636 714.838
Total Liabilities 10731.2 8303.34 6722.71 7539.42 6601.99 6878
Total Long Term Debt 114.285 0 876.755 800.648 476.883 299.677
Long Term Debt 114.285 0 876.755 642.964 330.847 165.43
Other Liabilities, Total 431.978 536.97 243.036 363.083 404.797 621.92
Total Equity 4430.74 5013.93 6263.78 7119.8 9452.06 11519
Preferred Stock - Non Redeemable, Net 53.438 53.438 53.438 53.438 53.438 53.438
Common Stock 345.625 345.625 345.625 345.625 345.625 345.625
Additional Paid-In Capital 2539.45 2539.45 2539.45 2539.45 2539.45 2539.45
Retained Earnings (Accumulated Deficit) 4539.15 5141.39 6194.43 7162.73 9583.73 12616.8
Treasury Stock - Common -2669.97 -2669.97 -2669.97 -2669.97 -2669.97 -3669.97
Other Equity, Total -376.954 -396.001 -199.197 -311.47 -400.215 -366.345
Total Liabilities & Shareholders’ Equity 15161.9 13317.3 12986.5 14659.2 16054 18397
Total Common Shares Outstanding 286.328 286.328 286.328 286.328 286.328 286.328
Total Preferred Shares Outstanding 32.7869 32.7869 32.7859 32.7869 32.7869 0
Accrued Expenses 85.445
Capital Lease Obligations 157.684 146.036 134.247
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
流動資産總額 11676.6 12254.2 13389 13269.5 16542.7
現金和短期投資 4270.85 3968.49 5081.85 2379.17 7120.21
現金等價物 4270.85 3968.49 5081.85 2379.17 7120.21
應收賬款總額,淨額 874.365 947.724 887.652 1036.75 893.179
Total Inventory 5155.27 6017.55 6090.04 8730.04 7102.62
Prepaid Expenses 1376.13 1320.47 1329.46 1123.53 1426.65
Other Current Assets, Total -0.001
Total Assets 16560.7 17124.4 18319 18397 21772
Property/Plant/Equipment, Total - Net 4236.39 4220.21 4266.12 4412.33 4553.98
Property/Plant/Equipment, Total - Gross 13111.6 13232.6 13391.7 13672.4
Accumulated Depreciation, Total -8875.23 -9012.43 -9125.6 -9260.12
Goodwill, Net 126.863 126.863 126.863 126.863 126.863
Long Term Investments 0 0 0 0
Other Long Term Assets, Total 520.787 523.05 536.994 588.337 548.493
Total Current Liabilities 6311.07 6286.43 6722.4 5956.4 8329
Payable/Accrued 5452.93 5561.3 5889.3 5143.99 7173.13
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 198.612 194.912 224.898 222.277 229.652
Other Current Liabilities, Total 659.533 530.22 608.203 590.139 926.219
Total Liabilities 7171.66 7048.57 7517.91 6878 9247.2
Total Long Term Debt 447.886 357.343 390.712 299.677 290.136
Long Term Debt 331.155 248.134 248.449 165.43 165.739
Capital Lease Obligations 116.731 109.209 142.263 134.247 124.397
Other Liabilities, Total 412.706 404.797 404.797 621.92 628.067
Total Equity 9388.99 10075.8 10801.1 11519 12524.8
Preferred Stock - Non Redeemable, Net 53.438 53.438 53.438 53.438 53.438
Common Stock 345.625 345.625 345.625 345.625 345.625
Additional Paid-In Capital 2539.45 2539.45 2539.45 2539.45 2539.45
Retained Earnings (Accumulated Deficit) 10120.4 10807.2 11532.5 12250.5 13256.2
Treasury Stock - Common -3669.97 -3669.97 -3669.97 -3669.97 -3669.97
Total Liabilities & Shareholders’ Equity 16560.7 17124.4 18319 18397 21772
Total Common Shares Outstanding 286.328 286.328 286.328 286.328 286.328
Total Preferred Shares Outstanding 32.7869 32.7869 32.7869 0 0
  • 年度
  • 每季度
2016 2017 2018 2019 2020 2021
淨收入/起跑線 508.698 948.448 1563.76 2621.34 4003.81 5560.67
經營活動産生的現金 1631.88 2501.66 2502.09 2325.02 5178.66 2529.28
經營活動産生的現金 581.36 572.452 611.263 665.484 692.664 640.779
Amortization 14.642 16.465 18.267 15.824 12.115 6.084
非現金物品 823.059 804.996 571.209 557.637 683.878 684.046
Cash Taxes Paid 22.979 0.491 131.077 502.889 772.019 866.239
已付現金利息 411.17 282.619 227.132 142.958 94.58 25.061
營運資金的變化 -295.884 159.296 -262.407 -1535.27 -213.806 -4362.3
投資活動産生的現金 -368.696 -217.186 -299.781 -353.223 -388.039 -625.094
資本支出 -381.925 -217.547 -273.802 -386.631 -403.149 -588.643
其他投資現金流量項目,總計 13.229 0.361 -25.979 33.408 15.11 -36.451
融資活動産生的現金 -933.23 -2862.68 -2178.03 -1841.37 -2321.68 -2347.42
融資現金流項目 -411.17 -282.619
Total Cash Dividends Paid -0.008 -0.004 -686.96 -329.33 -1110.18
股票的發行(報廢),淨額 0.583 -1000
債務的發行(退還),淨額 -522.635 -2580.06 -2178.02 -1154.41 -1992.35 -237.238
外彙效應 1.555 -0.333 1.428 -0.771 -3.5 2.825
現金淨變化 331.504 -578.538 25.708 129.656 2465.44 -440.408
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 1364.82 2760.77 4203.08 5560.67 1864.64
Cash From Operating Activities 2496.32 2830.22 4454.32 2529.28 5041.56
Cash From Operating Activities 171.875 341.243 510.036 679.606 168.654
Non-Cash Items 8.74 78.632 242.116 651.303 39.867
Cash Taxes Paid 2.001 339.17 589.079 866.239 1.965
Cash Interest Paid 7.489 13.881 19.048 25.061 4.461
Changes in Working Capital 950.88 -350.432 -500.912 -4362.3 2968.4
Cash From Investing Activities -29.715 -152.715 -298.471 -625.094 -281.576
Capital Expenditures -26.066 -19.21 -279.491 -588.643 -283.139
Other Investing Cash Flow Items, Total -3.649 -133.505 -18.98 -36.451 1.563
Cash From Financing Activities -1015.37 -1528.72 -1895.55 -2347.42 -21.155
Total Cash Dividends Paid -0.547 -416.912 -763.531 -1110.18 -0.084
Issuance (Retirement) of Stock, Net -1000 -1000 -1000 -1000 0
Issuance (Retirement) of Debt, Net -14.826 -111.812 -132.02 -237.238 -21.071
Foreign Exchange Effects 0.046 0.133 1.976 2.825 2.21
Net Change in Cash 1451.28 1148.91 2262.28 -440.408 4741.04

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Industry: Distilleries

3rd and 6th Floors, San Miguel Properties Centre, St. Francis Street, Ortigas Center
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