CFD'er er komplekse instrumenter, og der er stor risiko for at miste penge hurtigt på grund af gearing. 84% af individuelle investorer taber penge, når de handler CFD'er med denne udbyder. Du bør overveje, om du forstår, hvordan CFD'er virker, og om du har råd til at løbe en høj risiko for at miste dine penge.

Handel GFL Environmental Inc - GFL CFD

36.76
1.88%
0.30
Lav: 35.76
Høj: 36.9
Market Trading Hours* (UTC) Opens on Friday at 13:30

Mon - Fri: 13:30 - 20:00

  • Opsummering
  • Historisk Data
  • Begivenheder
  • Resultatopgørelse
  • Saldo
  • Cash flow
  • Ejerskab
Handelsbetingelser
Spænd 0.30
Long position, gebyr natten over

Long position overnight fee


Margin. Your investment $1,000.00
Gebyr for natten over -0.025457 %
Charges from borrowed part ($-1.02)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Gå til platform
-0.025457%
Short position, gebyr natten over

Short position overnight fee


Margin. Your investment $1,000.00
Gebyr for natten over 0.003235 %
Charges from borrowed part ($0.13)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Gå til platform
0.003235%
Gebyr natten over, tid 21:00 (UTC)
Min. handlet mængde 1
Valuta USD
Margen 20%
Aktiebørs United States of America
Kommission på handel 0%

*Information provided by Capital.com

GFL Environmental Inc 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.

Nøglestatistikker
Tidligere luk* 36.08
Åben* 35.8
1-Års Ændring* 17.15%
Dagens Spænd* 35.76 - 36.9
52-Ugers Spænd 31.57-51.57
Gennemsnitlig Volumen (10 dage) 706.45K
Gennemsnitlig Volumen (3 måneder) 7.78M
Market Cap 18.09B
P/E-forhold -100.00K
Udestående aktier 369.15M
Omsætning 7.16B
EPS -1.53
Dividend (Udbytte %) 0.14179
Beta -100.00K
Næste indtjeningsopgørelse Jul 25, 2023

Al data kommer fra Refinitiv, med undtagelse af data markeret med en asterisk, som er *data fra Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Luk Change Change (%) Åben High Low
Jun 1, 2023 36.76 0.74 2.05% 36.02 36.93 35.60
May 31, 2023 36.11 -0.48 -1.31% 36.59 36.87 35.90
May 30, 2023 36.71 -0.04 -0.11% 36.75 37.13 36.46
May 26, 2023 36.46 0.10 0.28% 36.36 36.74 36.33
May 25, 2023 36.25 0.01 0.03% 36.24 36.53 36.00
May 24, 2023 36.18 -0.19 -0.52% 36.37 36.52 35.94
May 23, 2023 36.67 -0.03 -0.08% 36.70 37.10 36.40
May 22, 2023 36.93 0.25 0.68% 36.68 37.40 36.68
May 19, 2023 37.18 -0.04 -0.11% 37.22 37.47 36.92
May 18, 2023 37.21 1.42 3.97% 35.79 37.32 35.40
May 17, 2023 37.29 -0.15 -0.40% 37.44 37.51 36.78
May 16, 2023 37.39 0.00 0.00% 37.39 37.71 36.94
May 15, 2023 37.42 -0.21 -0.56% 37.63 37.99 37.30
May 12, 2023 37.63 -0.20 -0.53% 37.83 38.08 37.16
May 11, 2023 37.82 0.26 0.69% 37.56 37.90 37.10
May 10, 2023 37.51 -0.19 -0.50% 37.70 38.19 37.21
May 9, 2023 37.35 1.12 3.09% 36.23 37.50 35.73
May 8, 2023 36.45 1.27 3.61% 35.18 36.51 35.18
May 5, 2023 35.39 -0.25 -0.70% 35.64 35.97 35.32
May 4, 2023 35.30 -1.19 -3.26% 36.49 36.86 35.12

GFL Environmental Inc Events

Tid (UTC) (UTC) Land Begivenhed
Tuesday, July 25, 2023

Tid (UTC) (UTC)

20:00

Land

CA

Begivenhed

Q2 2023 GFL Environmental Inc Earnings Release
Q2 2023 GFL Environmental Inc Earnings Release

Forecast

-

Previous

-
Tuesday, October 31, 2023

Tid (UTC) (UTC)

10:59

Land

CA

Begivenhed

Q3 2023 GFL Environmental Inc Earnings Release
Q3 2023 GFL Environmental Inc Earnings Release

Forecast

-

Previous

-
Se alle begivenheder
  • Årlig
  • Pr kvartal
2022 2021 2020 2019 2018
Total omsætning 6761.3 5525.5 4196.2 3346.85 1852.59
Omsætning 6761.3 5525.5 4196.2 3346.85 1852.59
Kost af omsætning, Total 5963.7 4997.9 4006.1 3036.7 1681.79
Bruttofortjeneste 797.6 527.6 190.1 310.151 170.8
Totale Driftsudgifter 6696.4 5436.5 4669.1 3469.6 2047.65
Salgs/Generelle/Admin. Udgifter, Total 701.3 562 482.9 307.936 188.672
Depreciation / Amortization 29.1 29.9 25.5 23.067 9.291
Driftsindtægter 64.9 89 -472.9 -122.752 -195.063
Renteindkomst (Udgift), Netto Ikke-Drift -371.1 -712.3 -748.2 -433.461 -318.156
Gain (Loss) on Sale of Assets -4.7 -1.9 -4.6 -1.188 -4.632
Andre, Netto -48.4 -87.6 -130.1 -51.82 -106.401
Netto Indkomst Før Skat -359.3 -712.8 -1355.8 -609.221 -624.252
Netto Indkomst Efter Skat -183.2 -606.8 -1102.4 -451.653 -483.336
Netto Indkomst Før Ekstra Ting -183.9 -606.8 -1102.4 -451.653 -483.336
Netto Indkomst -311.8 -606.8 -1102.4 -451.653 -483.336
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting -183.9 -606.8 -1102.4 -451.653 -483.336
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting -311.8 -606.8 -1102.4 -451.653 -483.336
Fortyndet Netto Indkomst -311.8 -606.8 -1102.4 -451.653 -483.336
Fortyndet Vægtet Gennemsnit Aktier 367.171 361.566 360.383 326.421 326.421
Fortyndet EPS Uden Ekstraordinære Ting -0.50086 -1.67826 -3.05897 -1.38365 -1.48071
Dividends per Share - Common Stock Primary Issue 0.06504 0.05559 0.05092 0 0
Fortyndet Normaliseret EPS -0.34542 -1.78989 -2.55954 -0.91252 -1.13715
Usædvanlig Udgift (Indkomst) 2.3 -153.3 154.6 101.9 167.9
Totale Ekstraordinære Ting -127.9
Minoritetsrente -0.7
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Total omsætning 1799.1 1821.2 1831.2 1707.5 1401.4
Omsætning 1799.1 1821.2 1831.2 1707.5 1401.4
Kost af omsætning, Total 1554.6 1624.2 1591.9 1482 1265.6
Bruttofortjeneste 244.5 197 239.3 225.5 135.8
Totale Driftsudgifter 1772.3 1820.7 1784.4 1669.5 1421.8
Salgs/Generelle/Admin. Udgifter, Total 207.9 195.1 180.4 171 154.8
Depreciation / Amortization 6.6 6.7 7.1 7.4 7.9
Usædvanlig Udgift (Indkomst) 3.2 -5.3 5 9.1 -6.5
Driftsindtægter 26.8 0.5 46.8 38 -20.4
Renteindkomst (Udgift), Netto Ikke-Drift -270.7 -222.3 -298.3 4 145.5
Gain (Loss) on Sale of Assets -0.1 -14.8 5.7 2.6 1.8
Andre, Netto -15.9 -13.1 -13.7 -9.9 -11.7
Netto Indkomst Før Skat -259.9 -249.7 -259.5 34.7 115.2
Netto Indkomst Efter Skat -217.8 -219.1 -183.7 82.6 137
Netto Indkomst Før Ekstra Ting -219.4 -220 -183.5 82.6 137
Totale Ekstraordinære Ting 0 0 0 -18.3 -109.6
Netto Indkomst -219.4 -220 -183.5 64.3 27.4
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting -242.1 -220 -183.5 82.6 137
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting -242.1 -220 -183.5 64.3 27.4
Fortyndet Netto Indkomst -242.1 -220 -183.5 64.3 27.4
Fortyndet Vægtet Gennemsnit Aktier 369.176 369.119 368.628 368.707 366.55
Fortyndet EPS Uden Ekstraordinære Ting -0.65578 -0.59601 -0.49779 0.22403 0.37376
Dividends per Share - Common Stock Primary Issue 0.01757 0.01626 0.01659 0.01545 0.015
Fortyndet Normaliseret EPS -0.62022 -0.53667 -0.46394 0.26845 0.39096
Minoritetsrente -1.6 -0.9 0.2
Total Adjustments to Net Income -22.7
  • Årlig
  • Pr kvartal
2022 2021 2020 2019 2018
Totale Nuværende Aktiver 1383.1 1495.7 1028.2 1420.27 681.148
Likvider og Kortsigtede Investeringer 82.1 190.4 27.2 574.797 7.445
Cash 82.1 190.4 27.2 574.797 7.445
Totale Tilgodehavender, Netto 1118.1 1134.7 867.3 713.356 574.729
Accounts Receivable - Trade, Net 1118.1 1134.7 867.3 713.356 574.729
Total Inventory 84.2 82 57.4 50.507 42.393
Prepaid Expenses 98.7 88.6 76.3 81.605 56.581
Other Current Assets, Total
Total Assets 19767.6 18373.7 15730 12323.8 11071.6
Property/Plant/Equipment, Total - Net 6540.3 6010.6 5074.8 2850.06 2436.35
Property/Plant/Equipment, Total - Gross 9405.4 7918 6190 3431.76 2576.09
Accumulated Depreciation, Total -2865.1 -1907.4 -1115.2 -581.703 -139.747
Goodwill, Net 8182.4 7501.1 6500.4 5173.78 4979.3
Intangibles, Net 3245 3330 3093.4 2848.02 2940.3
Note Receivable - Long Term 0 1.2
Other Long Term Assets, Total 90.2 36.3 33.2 31.672 33.336
Total Current Liabilities 2692.1 1522.4 1193.3 865.085 681.373
Payable/Accrued 1557.7 1319.7 1014.8 732.041 606.237
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 69.4 68.1 42.1 97.535 53.66
Other Current Liabilities, Total 1065 134.6 136.4 35.509 21.476
Total Liabilities 13730.4 12597.6 10050.7 9555.87 7879.02
Total Long Term Debt 9576.2 8219.2 6315.2 7719.53 6235
Long Term Debt 9248.9 7961.8 6161.5 7560.66 6235
Deferred Income Tax 582.6 723.9 466 733.787 759.139
Other Liabilities, Total 872.6 2132.1 2076.2 237.466 203.503
Total Equity 6037.2 5776.1 5679.3 2767.93 3192.61
Common Stock 8640.3 8462.9 7644.8 3524.53 3470.36
Additional Paid-In Capital 109.6 77.4 54.3 16.443 1.96
Retained Earnings (Accumulated Deficit) -2843 -2510.5 -1778.3 -770.316 -318.663
Other Equity, Total 130.3 -253.7 -241.5 -2.726 38.955
Total Liabilities & Shareholders’ Equity 19767.6 18373.7 15730 12323.8 11071.6
Total Common Shares Outstanding 343.443 338.293 326.363 326.421 326.421
Capital Lease Obligations 327.3 257.4 153.7 158.872 0
Total Preferred Shares Outstanding 36.7682 36.7682
Long Term Investments 326.6
Minority Interest 6.9
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Totale Nuværende Aktiver 2318.6 1383.1 1637.9 1519 1758.8
Likvider og Kortsigtede Investeringer 73 82.1 237.4 230.6 189.3
Cash 73 82.1 237.4 230.6 189.3
Totale Tilgodehavender, Netto 1021.6 1118.1 1211.5 1093.6 844.6
Accounts Receivable - Trade, Net 1021.6 1118.1 1211.5 1093.6 844.6
Prepaid Expenses 202.4 182.9 189 194.8 152.6
Total Assets 19830.2 19767.6 20014.4 19112 17942.5
Property/Plant/Equipment, Total - Net 6401.1 6540.3 6538.8 6047.1 5656.2
Property/Plant/Equipment, Total - Gross 9350.8 9405.4 9184 8339.4 7659.5
Accumulated Depreciation, Total -2949.7 -2865.1 -2645.2 -2292.3 -2003.3
Goodwill, Net 7603.3 8182.4 8184.9 7814.1 7295.9
Intangibles, Net 3125.8 3245 3290.6 3395.3 3174.4
Other Long Term Assets, Total 71.2 90.2 40.6 38.5 35.9
Total Current Liabilities 1549.5 2692.1 2546.6 2401.5 2443
Payable/Accrued 1380 1557.7 1496 1371.9 1119
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 70.8 69.4 69.5 66.8 63.9
Other Current Liabilities, Total 98.7 1065 981.1 962.8 1260.1
Total Liabilities 12891.1 13730.4 13698.8 12967.8 12244
Total Long Term Debt 9879.6 9576.2 9695.6 9061.3 8285.5
Long Term Debt 9554.7 9248.9 9358.5 8773 8000.1
Capital Lease Obligations 324.9 327.3 337.1 288.3 285.4
Deferred Income Tax 541.7 582.6 593.3 646.8 653.4
Other Liabilities, Total 903.8 872.6 857.3 858.2 862.1
Total Equity 6939.1 6037.2 6315.6 6144.2 5698.5
Common Stock 9754.1 8640.3 8638.8 8621.2 8463.2
Additional Paid-In Capital 120.7 109.6 96 99.7 90.6
Retained Earnings (Accumulated Deficit) -3068 -2843 -2617.4 -2428.5 -2487.8
Other Equity, Total 132.3 130.3 198.2 -148.2 -367.5
Total Liabilities & Shareholders’ Equity 19830.2 19767.6 20014.4 19112 17942.5
Total Common Shares Outstanding 369.153 343.443 343.404 342.87 338.3
Total Preferred Shares Outstanding 36.7682 36.7682 36.7682 36.7682 36.7682
Other Current Assets, Total 1021.6 572.3
Long Term Investments 310.2 326.6 321.6 298 21.3
Minority Interest 16.5 6.9 6
  • Årlig
  • Pr kvartal
2022 2021 2020 2019 2018
Netto indkomst/Startlinje -311.1 -606.8 -994.9 -451.653 -483.336
Likvider Fra Driftsaktiviteter 1096.3 897.9 502.2 251 19.384
Likvider Fra Driftsaktiviteter 1000.9 876.9 810.6 465.338 244.519
Amortization 516.8 461.2 427 334.124 168.407
Deferred Taxes -175.6 -129.9 -362.2 -160.641 -143.99
Ikke-Likvide Ting 617.9 681.3 633.9 158.15 232.139
Cash Taxes Paid 24.4 11 -4.3 0.261 -3.338
Ændringer i Driftskapital -552.6 -384.8 -12.2 -94.318 1.645
Likvider fra Investeringsaktiviteter -1734.2 -2687.2 -4353.5 -1166.87 -7177.83
Kapitaludgifter -780.1 -647.2 -428.3 -457.79 -212.536
Andre Investerings-Cash-Flow-Ting, Total -954.1 -2040 -3925.2 -709.084 -6965.3
Likvider fra Financieringsaktiviteter 569 1964.7 3338.3 1479.04 7151.79
Financiering af Cash-Flow-Ting -21.2 -54.2 934.8 -20.691 -106.085
Udstedelse (Pensionering) af Aktier, Netto 0 372.5 4041.9 -5.761 3587.07
Udstedelse (Pensionering) af Gæld, Netto 610.9 1664.3 -1625.3 1505.49 3670.81
Udenlandsk Børs Effekter -39.4 -12.2 -34.6 4.185 14.094
Netto Ændring i Likviditet -108.3 163.2 -547.6 567.352 7.435
Likvid Rente Betalt 417.9 321.2 41 106.085
Total Cash Dividends Paid -20.7 -17.9 -13.1
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line -217.8 -311.1 -92 91.7 27.4
Cash From Operating Activities 192.5 1096.3 693.3 407.2 176
Cash From Operating Activities 239.8 1000.9 729 468 229.3
Amortization 138.8 516.8 383.3 259.1 125.7
Deferred Taxes -49.3 -175.6 -154.9 -82.5 -30.6
Non-Cash Items 312.9 617.9 368.9 43.6 -6
Changes in Working Capital -231.9 -552.6 -541 -372.7 -169.8
Cash From Investing Activities -481.7 -1734.2 -1329.9 -995.2 -190.6
Capital Expenditures -272.9 -780.1 -542.8 -332.2 -203.2
Other Investing Cash Flow Items, Total -208.8 -954.1 -787.1 -663 12.6
Cash From Financing Activities 286.8 569 719.5 651.8 19.6
Financing Cash Flow Items 8.8 -21.2 -15.7 -12.1 -10.3
Total Cash Dividends Paid -5.6 -20.7 -15.1 -9.7 -4.7
Issuance (Retirement) of Stock, Net 0
Issuance (Retirement) of Debt, Net 283.6 610.9 750.3 673.6 34.6
Foreign Exchange Effects -6.7 -39.4 -35.9 -23.6 -6.1
Net Change in Cash -9.1 -108.3 47 40.2 -1.1
Cash Taxes Paid 2 24.4 22.1 19.5 0.4
Cash Interest Paid 175.3 417.9 301.2 186.9 97
Investornavn Investortype Procent udestående Aktiebeholdning Aktieændring Beholdningsdato IOmsætningsscore
BC Partners Advisors L.P. Investment Advisor 31.2279 111590408 57806241 2023-04-03 MED
Ontario Teachers' Pension Plan Board Pension Fund 12.2182 43660872 0 2023-04-03 MED
GIC Private Limited Sovereign Wealth Fund 7.4957 26785279 211552 2022-12-31 LOW
Fidelity Management & Research Company LLC Investment Advisor 6.6245 23672316 7973889 2023-03-31 LOW
Poole (Ven) Individual Investor 2.9848 10665830 0 2023-04-03 LOW
Morgan Stanley Investment Management Inc. (US) Investment Advisor/Hedge Fund 1.9885 7105692 -514250 2023-03-31 LOW
MFS Investment Management Investment Advisor/Hedge Fund 1.9541 6982873 171974 2023-03-31 LOW
Nordea Funds Oy Investment Advisor 1.7602 6290004 -41283 2023-03-31 LOW
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 1.652 5903457 326415 2022-12-31 LOW
Pictet Asset Management Ltd. Investment Advisor/Hedge Fund 1.5148 5413153 -1040841 2023-03-31 LOW
Nordea Investment Management AB (Denmark) Investment Advisor 1.5059 5381345 0 2023-04-30 MED
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 1.4619 5224165 33779 2023-03-31 LOW
RBC Dominion Securities, Inc. Investment Advisor 1.2957 4630231 495928 2023-03-31 LOW
American Century Investment Management, Inc. Investment Advisor/Hedge Fund 1.1156 3986346 -34661 2023-03-31 LOW
Clarkston Capital Partners, LLC Investment Advisor 1.0442 3731477 406581 2023-03-31 LOW
Fred Alger Management, LLC Investment Advisor/Hedge Fund 1.0012 3577656 3409321 2023-03-31 MED
Samlyn Capital, LLC Hedge Fund 0.7869 2811787 -1589938 2023-03-31 HIGH
Templeton Investment Counsel, L.L.C. Investment Advisor/Hedge Fund 0.7632 2727406 166159 2023-03-31 LOW
Capital Research Global Investors Investment Advisor 0.6956 2485774 885774 2023-03-31 LOW
CIBC Asset Management Inc. Investment Advisor 0.6464 2309817 41865 2023-03-31 LOW

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Handelskurtage
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  • 1:1
Gearing
1:1
  • 20
  • 100
  • 500
  • 1000
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Investering
Handelsstørrelse (Gearing x Investering):
Åben

Luk

Short Long

GFL Environmental Company profile

Om GFL Environmental Inc

GFL Environmental Inc. er en canadisk baseret diversificeret virksomhed inden for miljøtjenester. Selskabet beskæftiger sig med håndtering af ikke-farligt fast affald, infrastruktur- og jordrensningstjenester samt håndtering af flydende affald. Selskabets segmenter omfatter fast affald, som omfatter transport, deponering, overførsler og materiale-genvindingsanlæg, infrastruktur og jordrensning samt flydende affald. Segmentet infrastruktur- og jordrensning tilbyder sikre, integrerede tjenester, som først på stedet er tilgængelige i forbindelse med udvikling af infrastruktur eller bygge- og anlægsbehov. Virksomheden tilbyder også ex-situ bioremediering af forurenet jord og arrangerer opgravning og transport af jord til et af sine godkendte saneringsanlæg. Segmentet for flydende affald tilbyder serviceydelser inden for bilaffaldsvæske, vakuumvogns- og hydrovac-tjenester, håndtering af farligt affald, beredskab og sanering af anlægsområder samt specialiserede tjenester og industriel rengøring.

Industry: Waste Management, Disposal & Recycling Services

100 New Park Place #500
L4K 0H9

Resultatopgørelse

  • Annual
  • Quarterly

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