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 Vistry Group PLC - VTY CFD

7.585
0.78%
  • Opsummering
  • Historisk Data
  • Begivenheder
  • Resultatopgørelse
  • Saldo
  • Cash flow
  • Ejerskab
Handelsbetingelser
Spænd 0.050
Long position, gebyr natten over

Long position overnight fee


Margin. Your investment $1,000.00
Gebyr for natten over -0.023178 %
Charges from borrowed part ($-0.93)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Gå til platform
-0.023178%
Short position, gebyr natten over

Short position overnight fee


Margin. Your investment $1,000.00
Gebyr for natten over 0.00126 %
Charges from borrowed part ($0.05)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Gå til platform
0.00126%
Gebyr natten over, tid 21:00 (UTC)
Min. handlet mængde 1
Valuta GBP
Margen 20%
Aktiebørs United Kingdom of Great Britain and Northern Ireland
Kommission på handel 0%

*Information provided by Capital.com

Vistry Group PLC 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* 7.645
Åben* 7.685
1-Års Ændring* -15.97%
Dagens Spænd* 7.545 - 7.75
52-Ugers Spænd 5.02-9.48
Gennemsnitlig Volumen (10 dage) 497.77K
Gennemsnitlig Volumen (3 måneder) 14.79M
Market Cap 2.68B
P/E-forhold 9.02
Udestående aktier 345.73M
Omsætning 2.73B
EPS 0.86
Dividend (Udbytte %) 7.10594
Beta 2.78
Næste indtjeningsopgørelse Sep 7, 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 7, 2023 7.645 -0.090 -1.16% 7.735 7.760 7.610
Jun 6, 2023 7.755 0.125 1.64% 7.630 7.770 7.555
Jun 5, 2023 7.735 0.140 1.84% 7.595 7.750 7.465
Jun 2, 2023 7.655 0.340 4.65% 7.315 7.675 7.315
Jun 1, 2023 7.405 0.310 4.37% 7.095 7.460 7.095
May 31, 2023 7.215 -0.110 -1.50% 7.325 7.380 7.195
May 30, 2023 7.410 0.090 1.23% 7.320 7.435 7.265
May 26, 2023 7.315 -0.175 -2.34% 7.490 7.495 7.315
May 25, 2023 7.475 0.005 0.07% 7.470 7.525 7.400
May 24, 2023 7.505 -0.260 -3.35% 7.765 7.790 7.460
May 23, 2023 7.875 -0.135 -1.69% 8.010 8.115 7.870
May 22, 2023 8.090 -0.160 -1.94% 8.250 8.255 8.090
May 19, 2023 8.280 -0.200 -2.36% 8.480 8.500 8.260
May 18, 2023 8.480 0.295 3.60% 8.185 8.530 8.160
May 17, 2023 8.105 -0.005 -0.06% 8.110 8.185 8.045
May 16, 2023 8.115 0.150 1.88% 7.965 8.155 7.965
May 15, 2023 7.940 0.070 0.89% 7.870 7.975 7.855
May 12, 2023 7.870 0.155 2.01% 7.715 7.875 7.705
May 11, 2023 7.715 -0.025 -0.32% 7.740 7.840 7.670
May 10, 2023 7.765 0.065 0.84% 7.700 7.810 7.690

Vistry Group PLC Events

Tid (UTC) (UTC) Land Begivenhed
No events scheduled
Se alle begivenheder
  • Årlig
  • Pr kvartal
2022 2021 2020 2019 2018
Total omsætning 2729.43 2407.16 1811.73 1130.77 1061.4
Omsætning 2729.43 2407.16 1811.73 1130.77 1061.4
Kost af omsætning, Total 2219.59 1962.14 1553.86 888.012 830.505
Bruttofortjeneste 509.842 445.016 257.871 242.756 230.891
Totale Driftsudgifter 2517.83 2121.74 1720 951.677 887.228
Salgs/Generelle/Admin. Udgifter, Total 202.072 188.036 161.586 60.864 56.723
Usædvanlig Udgift (Indkomst) 153.877 12.225 30.984 13.476 0
Driftsindtægter 211.606 285.414 91.723 179.091 174.168
Renteindkomst (Udgift), Netto Ikke-Drift 35.024 33.99 6.65 -4.444 -6.208
Netto Indkomst Før Skat 247.484 319.536 98.664 174.753 168.069
Netto Indkomst Efter Skat 204.345 254.125 76.813 138.379 136.57
Netto Indkomst Før Ekstra Ting 204.345 254.125 76.813 138.379 136.57
Netto Indkomst 204.345 254.125 76.813 138.379 136.57
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting 204.345 254.125 76.813 138.379 136.57
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting 204.345 254.125 76.813 138.379 136.57
Fortyndet Netto Indkomst 204.345 254.125 76.813 138.379 136.57
Fortyndet Vægtet Gennemsnit Aktier 236.748 222.787 221.142 141.644 143.813
Fortyndet EPS Uden Ekstraordinære Ting 0.86313 1.14066 0.34735 0.97695 0.94964
Dividends per Share - Common Stock Primary Issue 0.55 0.6 0.2 0.19181 0.53332
Fortyndet Normaliseret EPS 1.43295 1.1843 0.43143 1.07119 0.94709
Andre, Netto 0.854 0.132 0.291 0.106 0.109
Renteudgift (Indkomst) - Netto Drift -21.42 -13.176 -11.25 -8.611
Other Operating Expenses, Total -36.293 -27.483 -15.172 -2.064
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Total omsætning 1566.44 1162.99 1277.71 1129.45 1205.35
Omsætning 1566.44 1162.99 1277.71 1129.45 1205.35
Kost af omsætning, Total 1281.17 938.423 1034.35 927.789 1025.46
Bruttofortjeneste 285.277 224.565 243.359 201.657 179.888
Totale Driftsudgifter 1443.27 1073.66 1131.41 990.333 1103.96
Salgs/Generelle/Admin. Udgifter, Total 113.218 88.854 108.676 79.36 91.173
Usædvanlig Udgift (Indkomst) 81.548 71.429 9.427 2.798 4.565
Other Operating Expenses, Total -32.662 -25.051 -21.045 -19.614 -17.242
Driftsindtægter 123.173 89.333 146.301 139.113 101.392
Renteindkomst (Udgift), Netto Ikke-Drift 12.966 22.012 17.022 17.1 9.51
Netto Indkomst Før Skat 136.139 111.345 163.323 156.213 110.902
Netto Indkomst Efter Skat 117.719 86.626 132.743 121.382 88.478
Netto Indkomst Før Ekstra Ting 117.719 86.626 132.743 121.382 88.478
Netto Indkomst 117.719 86.626 132.743 121.382 88.478
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting 117.719 86.626 132.743 121.382 88.478
Indkomst Tilgængelig for Almindelige Uden Ekstra Ting 117.719 86.626 132.743 121.382 88.478
Fortyndet Netto Indkomst 117.719 86.626 132.743 121.382 88.478
Fortyndet Vægtet Gennemsnit Aktier 251.841 221.656 223.995 221.58 226.063
Fortyndet EPS Uden Ekstraordinære Ting 0.46743 0.39081 0.59262 0.5478 0.39139
Dividends per Share - Common Stock Primary Issue 0.32 0.23 0.4 0.2 0.2
Fortyndet Normaliseret EPS 0.78006 0.64152 0.62682 0.55762 0.40467
Fortyndelsesændring 0 0
  • Årlig
  • Pr kvartal
2022 2021 2020 2019 2018
Totale Nuværende Aktiver 3974.76 2602.29 2416.88 1668.77 1547.95
Likvider og Kortsigtede Investeringer 676.76 398.714 340.988 361.962 163.217
Cash 676.757 398.673 338.799 11.743 0.547
Kortsigtede Investeringer 0.003 0.041 2.189 350.219 162.67
Totale Tilgodehavender, Netto 435.445 201.441 190.292 76.467 45.607
Accounts Receivable - Trade, Net 374.801 182.795 154.195 67.16 36.826
Total Inventory 2838.14 1962.16 1836.52 1207.67 1320.23
Prepaid Expenses 13.995 39.979 34.73 22.675 18.898
Total Assets 6015.72 3843.25 3632.19 1795.19 1583.58
Property/Plant/Equipment, Total - Net 98.162 35.811 43.602 23.192 2.181
Long Term Investments 253.659 175.064 145.153 85.129 28.992
Note Receivable - Long Term 391.983 308.671 325.194 7.322 0.611
Other Long Term Assets, Total 36.452 46.096 10.27 6.438 2.762
Total Current Liabilities 1570.32 988.904 966.422 383.596 301.609
Accounts Payable 918.322 582.137 564.231 267.265 232.488
Accrued Expenses 351.118 251.093 171.127 74.674 40.059
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 236.183 141.459 165.76 35.349 29.062
Total Liabilities 2766.05 1452.67 1437.11 523.222 522.509
Total Long Term Debt 580.483 183.096 279.951 16.686 36.401
Other Liabilities, Total 615.248 242.224 173.102 122.94 183.769
Total Equity 3249.67 2390.58 2195.08 1271.97 1061.07
Common Stock 173.605 111.154 111.127 74.169 67.398
Additional Paid-In Capital 362.079 361.081 360.657 359.857 216.907
Retained Earnings (Accumulated Deficit) 2731.39 1921.72 1730.25 841.56 780.382
Treasury Stock - Common -17.4 -3.372 -6.956 -3.62 -3.62
Other Equity, Total
Total Liabilities & Shareholders’ Equity 6015.72 3843.25 3632.19 1795.19 1583.58
Total Common Shares Outstanding 345.711 222.306 222.253 153.604 139.545
Property/Plant/Equipment, Total - Gross 142.255 69.334 65.289 30.408 3.655
Accumulated Depreciation, Total -44.093 -33.523 -21.687 -7.216 -1.474
Long Term Debt 508.657 164.26 253.103 0 36.401
Deferred Income Tax 0 38.444 17.637 0 0.73
Intangibles, Net 455.965 127.809 143.585 4.336 1.079
Other Current Assets, Total 10.417 0 14.35 0
Goodwill, Net 804.742 547.509 547.509 0
Payable/Accrued -0.001
Current Port. of LT Debt/Capital Leases 64.694 14.215 65.304 6.309
Capital Lease Obligations 71.826 18.836 26.848 16.686
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Totale Nuværende Aktiver 3974.76 2790.39 2602.29 2546.06 2416.88
Likvider og Kortsigtede Investeringer 676.76 427.949 398.714 342.598 340.988
Likvider & Lignende 676.76 427.949 398.714 342.598 340.988
Totale Tilgodehavender, Netto 449.44 251.423 241.42 245.203 225.022
Accounts Receivable - Trade, Net 449.44 251.423 241.42 245.203 225.022
Total Inventory 2838.14 2099 1962.16 1958.26 1836.52
Other Current Assets, Total 10.417 12.015 0 0 14.35
Total Assets 6015.72 3997.41 3843.25 3775.58 3632.19
Property/Plant/Equipment, Total - Net 98.162 30.523 35.811 39.592 43.602
Goodwill, Net 804.742 547.509 547.509 547.509 547.509
Intangibles, Net 455.965 121.6 127.809 136.553 143.585
Long Term Investments 253.659 187.415 175.064 151.962 145.153
Note Receivable - Long Term 391.983 275.011 308.671 329.267 325.194
Other Long Term Assets, Total 36.452 44.961 46.096 24.642 10.27
Total Current Liabilities 1570.32 1225.09 988.904 934.517 966.422
Payable/Accrued 1432.71 991.741 966.127 918.738 894.503
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 64.694 210.248 14.215 14.369 65.304
Other Current Liabilities, Total 72.912 23.099 8.562 1.41 6.615
Total Liabilities 2766.05 1631.44 1452.67 1490.62 1437.11
Total Long Term Debt 580.483 130.298 183.096 333.946 279.951
Long Term Debt 508.657 112.981 164.26 311.035 253.103
Capital Lease Obligations 71.826 17.317 18.836 22.911 26.848
Deferred Income Tax 0 39.441 38.444 23.701 17.637
Other Liabilities, Total 615.248 236.609 242.224 198.455 173.102
Total Equity 3249.67 2365.98 2390.58 2284.97 2195.08
Common Stock 173.605 110.598 111.154 111.147 111.127
Additional Paid-In Capital 362.079 361.7 361.081 360.972 360.657
Retained Earnings (Accumulated Deficit) 2713.99 1893.68 1918.35 1812.85 1723.3
Total Liabilities & Shareholders’ Equity 6015.72 3997.41 3843.25 3775.58 3632.19
Total Common Shares Outstanding 345.711 219.696 222.306 222.293 222.253
  • Årlig
  • Pr kvartal
2022 2021 2020 2019 2018
Netto indkomst/Startlinje 204.345 254.125 76.813 138.379 136.57
Likvider Fra Driftsaktiviteter 52.873 266.121 181.669 216.392 130.678
Likvider Fra Driftsaktiviteter 35.272 32.524 31.71 6.253 0.771
Ikke-Likvide Ting 24.006 35.568 17.432 42.634 37.364
Cash Taxes Paid 65.3 39 34.712 33.804 29.165
Likvid Rente Betalt 17.978 18.74 14.661 2.093 2.773
Ændringer i Driftskapital -210.75 -56.096 55.714 29.126 -44.161
Likvider fra Investeringsaktiviteter 19.252 45.608 -383.818 -57.884 -20.034
Kapitaludgifter -1.586 -1.546 -2.632 -0.565 -1.876
Andre Investerings-Cash-Flow-Ting, Total 20.838 47.154 -381.186 -57.319 -18.158
Likvider fra Financieringsaktiviteter 205.921 -254.003 181.175 40.237 -117.489
Total Cash Dividends Paid -138.858 -88.709 0 -78.645 -129.665
Udstedelse (Pensionering) af Aktier, Netto -35.518 0.451 -3.5 149.721 0.984
Udstedelse (Pensionering) af Gæld, Netto 380.297 -165.745 184.675 -30.839 11.192
Netto Ændring i Likviditet 278.046 57.726 -20.974 198.745 -6.845
Amortization 0.134
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Net income/Starting Line 204.345 86.626 254.125 121.382 76.813
Cash From Operating Activities 52.873 -47.391 266.121 66.395 181.669
Cash From Operating Activities 35.272 15.347 32.524 16.248 31.71
Non-Cash Items 24.006 4.58 35.568 19.844 17.432
Cash Taxes Paid 65.3 34 39 16 34.712
Cash Interest Paid 17.978 4.634 18.74 7.138 14.661
Changes in Working Capital -210.75 -153.944 -56.096 -91.079 55.714
Cash From Investing Activities 19.252 45.779 45.608 -11.982 -383.818
Capital Expenditures -1.586 -0.865 -1.546 -4.707 -2.632
Other Investing Cash Flow Items, Total 20.838 46.644 47.154 -7.275 -381.186
Cash From Financing Activities 205.921 30.847 -254.003 -52.803 181.175
Total Cash Dividends Paid -138.858 -88.748 -88.709 -44.34 0
Issuance (Retirement) of Stock, Net -35.518 -22.078 0.451 0 -3.5
Issuance (Retirement) of Debt, Net 380.297 142.036 -165.745 -8.463 184.675
Net Change in Cash 278.046 29.235 57.726 1.61 -20.974
Financing Cash Flow Items -0.363
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535K+

Handlende

87K+

Månedlkige, aktive klienter

$113M+

Månedlig investeringsvolumen

$64M+

Hævet hver måned

Handelslommeregner

Udregn dit hypotetiske P&L hvis du havde åbnet en CFD-handel på en given dato (vælg en dato) og lukket den på en anden dato (vælg en dato).

Handelskurtage
0
  • 1:1
Gearing
1:1
  • 20
  • 100
  • 500
  • 1000
  • 10000
Investering
Handelsstørrelse (Gearing x Investering):
Åben

Luk

Short Long

Vistry Group PLC Company profile

Om Vistry Group PLC

Vistry Group PLC er en britisk virksomhed, som opererer på boligmarkedet. Selskabet udvikler nye boliger og fællesskaber inden for alle sektorer af det britiske boligmarked. Selskabets segmenter omfatter husbyggeri og partnerskaber. Segmentet Housebuilding udvikler områder i hele England og leverer private boliger på grunde, der ejes af selskabet eller dets joint ventures. Housebuilding-segmentet tilbyder ejendomme under både Bovis- og Linden-varemærkerne. Segmentet Partnerships er specialiseret i partnerskaber med boligforeninger og andre virksomheder i den offentlige sektor i hele England, herunder London, med henblik på at udvikle private boliger på grunde, der ejes af selskabet eller dets joint ventures, eller for at levere entreprenørydelser i forbindelse med udviklingen. Partnerships-segmentet opererer under varemærkerne Vistry Partnerships og Drew Smith.

Industry: Homebuilding (NEC)

11 Tower View
WEST MALLING
KENT ME19 4UY
GB

Resultatopgørelse

  • Annual
  • Quarterly

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