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Trade ContourGlobal PLC - GLO CFD

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Market information is presented
as of 2023-09-21

  • Summary
Trading Conditions
Spread 0.0150
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.025255 %
Charges from full value of position ($-4.80)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.025255%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.003337 %
Charges from full value of position ($0.63)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
0.003337%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency GBP
Margin 5%
Stock exchange United Kingdom of Great Britain and Northern Ireland
Commission on trade 0%

*Information provided by Capital.com

Contourglobal 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* 2.5
Open* 2.505
1-Year Change* 31.43%
Day's Range* 2.503 - 2.505
52 wk Range 1.72-2.60
Average Volume (10 days) 712.43K
Average Volume (3 months) 12.45M
Market Cap 1.63B
P/E Ratio 10.70
Shares Outstanding 657.03M
Revenue 2.13B
EPS 0.23
Dividend (Yield %) 7.21339
Beta 0.70
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

Date Close Change Change (%) Open High Low
Dec 19, 2022 2.5050 -0.0050 -0.20% 2.5100 2.5100 2.5030
Dec 16, 2022 2.5000 0.0000 0.00% 2.5000 2.5000 2.4980
Dec 15, 2022 2.5000 0.0150 0.60% 2.4850 2.5000 2.4850
Dec 14, 2022 2.5000 0.0000 0.00% 2.5000 2.5000 2.4980
Dec 13, 2022 2.5000 0.0000 0.00% 2.5000 2.5000 2.4980
Dec 12, 2022 2.4980 0.0000 0.00% 2.4980 2.5000 2.4980
Dec 9, 2022 2.5000 0.0020 0.08% 2.4980 2.5000 2.4980
Dec 8, 2022 2.5000 0.0020 0.08% 2.4980 2.5000 2.4980
Dec 7, 2022 2.5000 0.0000 0.00% 2.5000 2.5000 2.4980
Dec 6, 2022 2.5000 0.0020 0.08% 2.4980 2.5000 2.4980
Dec 5, 2022 2.5000 0.0000 0.00% 2.5000 2.5000 2.4980
Dec 2, 2022 2.5000 0.0000 0.00% 2.5000 2.5100 2.4950
Dec 1, 2022 2.5000 0.0050 0.20% 2.4950 2.5000 2.4755
Nov 30, 2022 2.4950 0.0020 0.08% 2.4930 2.4950 2.4780
Nov 29, 2022 2.4950 0.0020 0.08% 2.4930 2.5000 2.4830
Nov 28, 2022 2.4930 0.0030 0.12% 2.4900 2.4950 2.4755
Nov 25, 2022 2.4930 -0.0020 -0.08% 2.4950 2.5000 2.4930
Nov 24, 2022 2.4930 0.0000 0.00% 2.4930 2.5000 2.4750
Nov 23, 2022 2.4950 -0.0050 -0.20% 2.5000 2.5000 2.4805
Nov 22, 2022 2.5000 0.0150 0.60% 2.4850 2.5000 2.4830

ContourGlobal PLC Events

Time (UTC) Country Event
Tuesday, November 21, 2023

Time (UTC)

14:00

Country

GB

Event

Q3 2023 Contourglobal Ltd Earnings Call
Q3 2023 Contourglobal Ltd Earnings Call

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total revenue 2151.9 1410.7 1330.2 1253 1022.7
Revenue 1801.3 1191.4 1078.8 965.2 757.3
Other Revenue, Total 350.6 219.3 251.4 287.8 265.4
Cost of Revenue, Total 1730.5 1033.5 973.4 933.5 716.3
Total Operating Expense 1776 1102.8 1038.1 991.5 766.4
Selling/General/Admin. Expenses, Total 37.8 33.5 31 28.1 31.2
Unusual Expense (Income) 14.2 25.4 23.2 20 22.2
Other Operating Expenses, Total -9.2 7.1 6.9 9.7 -4
Operating Income 375.9 307.9 292.1 261.5 256.3
Interest Income (Expense), Net Non-Operating -162.5 -180.8 -189 -170.4 -206.1
Gain (Loss) on Sale of Assets 0
Other, Net -70.5 -54.8 -43.7 -63.3 -9.6
Net Income Before Taxes 142.9 72.3 59.4 27.8 40.6
Net Income After Taxes 79.7 28.6 23.1 10.4 13.5
Minority Interest -1.4 -12.6 4.6 4.6 5.9
Net Income Before Extra. Items 78.3 16 27.7 15 19.4
Net Income 78.3 16 27.7 15 19.4
Income Available to Common Excl. Extra. Items 78.3 16 27.7 15 19.4
Income Available to Common Incl. Extra. Items 78.3 16 27.7 15 19.4
Dilution Adjustment 0 0
Diluted Net Income 78.3 16 27.7 15 19.4
Diluted Weighted Average Shares 659.3 668.9 672.4 671.5 614.2
Diluted EPS Excluding Extraordinary Items 0.11876 0.02392 0.0412 0.02234 0.03159
Dividends per Share - Common Stock Primary Issue 0.17582 0.17037 0.15583 0.13149 0.02597
Diluted Normalized EPS 0.13077 0.0486 0.07561 0.07258 0.05402
Depreciation / Amortization 2.7 3.3 3.6 0.2 0.7
Total Adjustments to Net Income 0
Dec 2021 Jun 2021 Dec 2020 Jun 2020 Dec 2019
Total revenue 1217 934.9 730.5 680.2 712.8
Revenue 989.2 812.1 621.2 570.2 582.8
Other Revenue, Total 227.8 122.8 109.3 110 130
Cost of Revenue, Total 999.7 730.8 538.8 494.7 527
Total Operating Expense 1022.5 753.5 580.8 522 563.3
Selling/General/Admin. Expenses, Total 22.5 15.3 16.7 16.8 14.9
Unusual Expense (Income) 6.7 7.5 19.7 5.7 17.9
Other Operating Expenses, Total -6.4 -2.9 4.7 2.4 3.5
Operating Income 194.5 181.4 149.7 158.2 149.5
Interest Income (Expense), Net Non-Operating -82.2 -80.3 -143.1 -37.7 -101.2
Other, Net -34.9 -35.6 -35.9 -18.9 -12.1
Net Income Before Taxes 77.4 65.5 -29.3 101.6 36.2
Net Income After Taxes 41.8 37.9 -46.2 74.8 17.1
Minority Interest -1.2 -0.2 -8.8 -3.8 -3.5
Net Income Before Extra. Items 40.6 37.7 -55 71 13.6
Net Income 40.6 37.7 -55 71 13.6
Income Available to Common Excl. Extra. Items 40.6 37.7 -55 71 13.6
Income Available to Common Incl. Extra. Items 40.6 37.7 -55 71 13.6
Diluted Net Income 40.6 37.7 -55 71 13.6
Diluted Weighted Average Shares 690.267 628.333 687.745 645.455 639.8
Diluted EPS Excluding Extraordinary Items 0.05882 0.06 -0.07997 0.11 0.02126
Dividends per Share - Common Stock Primary Issue 0.08963 0.08809 0.08242 0.07975 0.07689
Diluted Normalized EPS 0.06406 0.06691 -0.06135 0.1165 0.03447
Depreciation / Amortization 2.8 0.9 2.4
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total Current Assets 1442.9 1995.1 1203.4 1178.1 1147.8
Cash and Short Term Investments 369.1 1396.9 558.5 696.9 781.1
Cash & Equivalents 369.1 1396.9 558.5 696.9 781.1
Total Receivables, Net 314.1 285.3 357.7 337.3 271.8
Accounts Receivable - Trade, Net 256.1 221 210.5 270.6 199.1
Total Inventory 489.9 255.3 235.9 112.8 54.1
Other Current Assets, Total 250.1 40.2 39.6 31.1 40.8
Total Assets 6192.4 6370.8 5839.4 5147.9 4351.3
Property/Plant/Equipment, Total - Net 234.9 333.1 3772.3 344.8 183.6
Property/Plant/Equipment, Total - Gross 355.9 481.8 462.3 270.9
Accumulated Depreciation, Total -121 -148.7 -117.4 -87.1
Goodwill, Net 4.1 0.6 0.5 0.5 0.6
Intangibles, Net 301.3 319.1 352.1 116.9 136.5
Long Term Investments 404 437.8 444.1 464.2 577.1
Note Receivable - Long Term 22.4 24.1 0 60.3 72.3
Other Long Term Assets, Total 92.3 77 67 74.8 66.7
Total Current Liabilities 1370.4 1540.9 875.3 766.2 561.3
Accounts Payable 92.8 67.6 77.3 98.2 53.9
Accrued Expenses 504.2 266.1 258.8 194.7 115.2
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 370.9 939.1 308.2 273.2 217.5
Other Current Liabilities, Total 402.5 268.1 231 200.1 174.7
Total Liabilities 5983.4 6188.4 5454.6 4652.6 3774.3
Total Long Term Debt 3835.3 3924.1 3815.6 3286.8 2672.6
Long Term Debt 3809.1 3895.5 3787.6 3286.8 2672.6
Deferred Income Tax 325.2 269 263.4 163.8 65.5
Minority Interest 183.3 183.9 223.4 254.4 281.5
Other Liabilities, Total 269.2 270.5 276.9 181.4 193.4
Total Equity 209 182.4 384.8 495.3 577
Other Equity, Total 0
Total Liabilities & Shareholders’ Equity 6192.4 6370.8 5839.4 5147.9 4351.3
Total Common Shares Outstanding 668.088 658.338 670.713 670.713 670.713
Common Stock 8.9 8.9 8.9 8.9 8.9
Additional Paid-In Capital 380.8 380.8 380.8 380.8 380.8
Retained Earnings (Accumulated Deficit) -142.9 -176.9 -4.9 105.6 187.3
Prepaid Expenses 19.7 17.4 11.7
Capital Lease Obligations 26.2 28.6 28
Treasury Stock - Common -37.8 -30.4 0
Dec 2021 Jun 2021 Dec 2020 Jun 2020 Dec 2019
Total Current Assets 1442.9 1044.4 1995.1 971.1 1203.4
Cash and Short Term Investments 369.1 435 1396.9 548.4 558.5
Cash & Equivalents 369.1 435 1396.9 548.4 558.5
Total Receivables, Net 314.1 314.1 285.3 253.5 357.7
Accounts Receivable - Trade, Net 299.1 295.7 264 241.3 343.6
Total Inventory 485.7 222.3 247.4 143.9 229.6
Other Current Assets, Total 274 73 65.5 25.3 57.6
Total Assets 6192.4 6202.6 6370.8 5291.5 5839.4
Property/Plant/Equipment, Total - Net 234.9 331.2 333.1 324.1 3772.3
Intangibles, Net 301.3 564.5 319.7 324 352.6
Long Term Investments 404 419.9 437.8 453.7 444.1
Note Receivable - Long Term 22.4 0
Other Long Term Assets, Total 92.3 115 101.1 91.1 67
Total Current Liabilities 1370.4 1233.3 1540.9 715.8 875.3
Payable/Accrued 597 349.5 333.7 206.3 336.1
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 367 607.4 934.8 301.1 302.9
Other Current Liabilities, Total 406.4 276.4 272.4 208.4 236.3
Total Liabilities 5983.4 5996.3 6188.4 4998.5 5454.6
Total Long Term Debt 3809.1 3967.7 3895.5 3564.7 3787.6
Long Term Debt 3809.1 3967.7 3895.5 3564.7 3787.6
Deferred Income Tax 325.2 321.9 269 254.1 263.4
Minority Interest 161.5 153.7 155.3 137.2 165.3
Other Liabilities, Total 317.2 319.7 327.7 326.7 363
Total Equity 209 206.3 182.4 293 384.8
Common Stock 8.9 8.9 8.9 8.9 8.9
Additional Paid-In Capital 380.8 380.8 380.8 380.8 380.8
Retained Earnings (Accumulated Deficit) -142.9 84 -176.9 -89.9 -4.9
Treasury Stock - Common -37.8 -37.8 -30.4 -6.8 0
Total Liabilities & Shareholders’ Equity 6192.4 6202.6 6370.8 5291.5 5839.4
Total Common Shares Outstanding 668.088 655.777 658.338 667.205 670.713
Property/Plant/Equipment, Total - Gross 355.9 486.4 481.8 455.2
Accumulated Depreciation, Total -121 -155.1 -148.7 -131
Goodwill, Net 4.1 0.6
Unrealized Gain (Loss) -2.1
Other Equity, Total -227.5
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Net income/Starting Line 79.7 28.6 23.1 10.4 13.5
Cash From Operating Activities 810.4 719.6 616.3 578.2 420.7
Cash From Operating Activities 399.2 311.6 282.3 239.3 185.6
Non-Cash Items 322.1 364.1 340.7 312.7 284.8
Cash Taxes Paid 36.6 37.5 34.8 35.1 23.9
Cash Interest Paid 192.9 175.8 189.2 180.9 169.2
Changes in Working Capital 9.4 15.3 -29.8 15.8 -63.2
Cash From Investing Activities -777.7 -105.3 -924.9 -996.2 -280.6
Capital Expenditures -120.5 -80.8 -103.5 -82.3 -59.8
Other Investing Cash Flow Items, Total -657.2 -24.5 -821.4 -913.9 -220.8
Cash From Financing Activities -990.5 202.9 155.5 375.4 160.9
Financing Cash Flow Items -355.1 -276.5 -226.2 -221.4 -243.8
Total Cash Dividends Paid -114.5 -105.7 -137.6 -44.1 -75.5
Issuance (Retirement) of Debt, Net -513.5 615.5 519.3 640.9 77.9
Foreign Exchange Effects -57.6 21.2 14.7 -41.6 46.4
Net Change in Cash -1015.4 838.4 -138.4 -84.2 347.4
Issuance (Retirement) of Stock, Net -7.4 -30.4 0 402.3
Dec 2021 Jun 2021 Dec 2020 Jun 2020 Dec 2019
Net income/Starting Line 79.7 37.9 28.6 74.8 23.1
Cash From Operating Activities 810.3 400.6 719.6 370.7 616.3
Cash From Operating Activities 399.2 191.2 311.6 150.5 282.3
Non-Cash Items 322.1 158.1 364.1 121.7 340.7
Cash Taxes Paid 36.6 14 37.5 13.3 34.8
Cash Interest Paid 192.9 99.8 175.8 100.3 189.2
Changes in Working Capital 9.3 13.4 15.3 23.7 -29.8
Cash From Investing Activities -777.7 -666.4 -105.3 -39.4 -924.9
Capital Expenditures -120.5 -40.3 -80.8 -39.1 -103.5
Other Investing Cash Flow Items, Total -657.2 -626.1 -24.5 -0.3 -821.4
Cash From Financing Activities -990.5 -674.8 202.9 -314.3 155.5
Financing Cash Flow Items -355.1 -192.2 -276.5 -169.2 -226.2
Total Cash Dividends Paid -114.5 -55.9 -105.7 -51.8 -137.6
Issuance (Retirement) of Debt, Net -513.5 -419.3 615.5 -86.5 519.3
Foreign Exchange Effects -57.6 -21.3 21.2 -27 14.7
Net Change in Cash -1015.4 -961.9 838.4 -10 -138.4
Issuance (Retirement) of Stock, Net -7.4 -7.4 -30.4 -6.8

ContourGlobal Company profile

About Contourglobal PLC

ContourGlobal plc is a United Kingdom-based company, which develops, acquires, owns and operates power generation assets around the world. The Company's Thermal Energy segment includes power generating plants operating from coal, lignite, natural gas, fuel oil and diesel. Its thermal plants include Maritsa, Arrubal, Togo, Cap des Biches, KivuWatt, Energies Antilles, Energies Saint-Martin, Bonaire, Mexican CHP and its equity investees primarily Termoemcali and Sochagota. Its Thermal Energy segment also includes plants, which provide electricity and certain other services to beverage bottling companies and other industries. Its Renewable Energy segment includes power generating plants operating from renewable resources, such as wind, solar and hydro in Europe and Latin America. Its Renewables plants include Asa Branca, Chapada I, II, III, Inka, Vorotan, Austria Portfolio 1 and 2, Spanish Concentrated Solar Power and its other European and Brazilian plants.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Contourglobal PLC revenues increased 53% to $2.15B. Net income increased from $16M to $78.3M. Revenues reflect Revenue from power sales increase of 51% to $1.8B, Revenue from operating lease increase from $85.6M to $184.9M, Other Rev from Biz Related Ac increase of 33% to $131.8M. Net income benefited from Restructuring Costs decrease from $5.2M (expense) to $0K.

Industry: Independent Power Producers (NEC)

55 Baker Street, 5Th Floor
LONDON
W1U 8EW
GB

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