Los CFD son instrumentos complejos y presentan un gran riesgo de perder dinero rápidamente debido al apalancamiento. El 84% de las cuentas de pequeños inversores pierde dinero cuando opera con CFD de este proveedor. Debes estar seguro de comprender cómo funcionan los CFD y saber si puedes asumir el riesgo de perder tu dinero.

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Operaciones 3SBio Inc. - 1530 CFD

8.20
3.53%
0.35
Bajo: 8.15
Alto: 8.5
Market Trading Hours* (UTC) Opens on Monday at 01:30

Mon - Fri: 01:30 - 04:00 05:00 - 08:00

  • Resumen
  • Datos históricos
  • Eventos
  • Cuenta de resultados
  • Balance de situación
  • Flujo de caja
  • Propiedad
Condiciones de trading
Diferencial 0.35
Tarifa nocturna posición alcista

Long position overnight fee


Margin. Your investment $1,000.00
Comisión overnight -0.0295 %
Charges from borrowed part ($-1.18)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Ir a la plataforma
-0.0295%
Tarifa nocturna posición bajista

Short position overnight fee


Margin. Your investment $1,000.00
Comisión overnight -0.014944 %
Charges from borrowed part ($-0.60)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Ir a la plataforma
-0.014944%
Horario tarifa nocturna 22:00 (UTC)
Cantidad comercializada mínima 1
Divisa HKD
Margen 20%
Mercado de valores Hong Kong
Comisión por operación 0%

*Information provided by Capital.com

3SBio 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.

Estadísticas clave
Cierre previo* 8.5
Abrir* 8.5
Cambio de 1 año* 41.67%
Rango del día* 8.15 - 8.5
Rango de 52 semanas 4.72-9.10
Volumen medio (10 días) 8.64M
Volumen medio (3 meses) 314.62M
Capitalización de mercado 20.46B
Ratio P/E 11.46
Acciones en circulación 2.44B
Ingresos 7.42B
EPS 0.73
Dividendo (Rendimiento %) 2.38379
Beta 1.04
Próxima fecha de resultados Mar 28, 2023

"Todos los datos son proporcionados por Refinitiv, excepto los datos marcados con un asterisco, que son *datos proporcionados por Capital.com"

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Cierre Change Change (%) Apertura High Low
Feb 3, 2023 8.20 -0.25 -2.96% 8.45 8.50 8.15
Feb 2, 2023 8.50 0.05 0.59% 8.45 8.55 8.40
Feb 1, 2023 8.35 -0.10 -1.18% 8.45 8.45 8.25
Jan 31, 2023 8.40 -0.15 -1.75% 8.55 8.65 8.30
Jan 30, 2023 8.60 -0.20 -2.27% 8.80 8.85 8.35
Jan 27, 2023 8.85 0.15 1.72% 8.70 8.90 8.70
Jan 26, 2023 8.70 0.00 0.00% 8.70 8.70 8.55
Jan 20, 2023 8.65 0.15 1.76% 8.50 8.70 8.50
Jan 19, 2023 8.50 0.25 3.03% 8.25 8.55 8.25
Jan 18, 2023 8.40 0.05 0.60% 8.35 8.40 8.20
Jan 17, 2023 8.40 0.05 0.60% 8.35 8.45 8.30
Jan 16, 2023 8.40 0.05 0.60% 8.35 8.60 8.25
Jan 13, 2023 8.25 -0.05 -0.60% 8.30 8.40 8.25
Jan 12, 2023 8.20 -0.30 -3.53% 8.50 8.50 8.15
Jan 11, 2023 8.40 -0.10 -1.18% 8.50 8.60 8.35
Jan 10, 2023 8.40 -0.25 -2.89% 8.65 8.65 8.40
Jan 9, 2023 8.60 0.20 2.38% 8.40 8.65 8.40
Jan 6, 2023 8.40 -0.15 -1.75% 8.55 8.55 8.35
Jan 5, 2023 8.40 0.20 2.44% 8.20 8.65 8.20
Jan 4, 2023 8.20 0.05 0.61% 8.15 8.20 8.00

3SBio Inc. Events

Time (UTC) Country Event
No events scheduled
View all events
  • Anual
  • Trimestral
2016 2017 2018 2019 2020 2021
Ingresos totales 2797.29 3734.33 4583.87 5318.09 5587.64 6382.01
Ingresos 2797.29 3734.33 4583.87 5318.09 5587.64 6382.01
Coste de los ingresos, total 402.268 676.235 877.255 925.347 1062.91 1106.29
Beneficio bruto 2395.02 3058.1 3706.61 4392.74 4524.73 5275.72
Gastos totales de explotación 1787.33 2476.52 2941.73 3974.57 4497.05 4409.62
Gastos de venta/general/administración Gastos, total 1315.9 1662.71 2075.93 2668.55 2480 2803.02
Investigación y desarrollo 243.006 257.31 362.706 526.565 590.343 753.872
Gasto (ingreso) por intereses - Explotación neta -25.552 1.574 -348.558 -131.48 158.997 -237.673
Gastos (ingresos) extraordinarios -65.598 -88.991 10.054 3.367 178.195 27.409
Other Operating Expenses, Total -82.691 -32.312 -35.66 -17.779 26.599 -43.3
Ingresos de explotación 1009.96 1257.81 1642.14 1343.52 1090.59 1972.39
Ingresos por intereses (gastos), netos No operativos -159.892 -155.792 -146.627 -120.507 -111.459 -103.626
Ingresos netos antes de impuestos 850.068 1102.02 1495.51 1223.01 979.129 1868.77
Ingresos netos después de impuestos 714.254 924.404 1277.25 980.228 771.106 1627.57
Intereses menores -1.69 10.985 -0.079 -6.511 64.685 23.674
Beneficio neto antes de partidas extra. Elementos 712.564 935.389 1277.17 973.717 835.791 1651.25
Ingresos netos 712.564 935.389 1277.17 973.717 835.791 1651.25
Ingresos disponibles para los accionistas, excluyendo las partidas extra. Elementos 712.564 935.389 1277.17 973.717 835.791 1651.25
Ingresos disponibles para los accionistas, incluidos los elementos extra. Elementos 712.564 935.389 1277.17 973.717 835.791 1651.25
Beneficio neto diluido 712.564 966.78 1349.94 973.717 835.791 1651.25
Promedio ponderado de acciones diluidas 2563.49 2653.55 2754.04 2537.74 2750.82 2770.12
BPA diluido sin partidas extraordinarias 0.27797 0.36433 0.49017 0.38369 0.30383 0.59609
Dividends per Share - Common Stock Primary Issue 0 0.05705 0 0.16296
BPA normalizado diluido 0.25647 0.3362 0.49329 0.38476 0.35485 0.60471
Ajuste por dilución 31.391 72.773
Q4 2019 Q2 2020 Q4 2020 Q2 2021 Q4 2021
Ingresos totales 2675.16 2695.18 2892.46 3107.14 3274.87
Ingresos 2675.16 2695.18 2892.46 3107.14 3274.87
Coste de los ingresos, total 466.937 478.097 584.814 519.991 586.295
Beneficio bruto 2208.22 2217.08 2307.65 2587.14 2688.58
Gastos totales de explotación 1785.66 1815.02 2682.03 2032.6 2377.01
Gastos de venta/general/administración Gastos, total 1153.04 1129.25 1350.75 1314.8 1488.22
Investigación y desarrollo 262.674 254.348 335.995 344.851 409.021
Gasto (ingreso) por intereses - Explotación neta -94.483 -44.052 203.049 -107.535 -130.138
Gastos (ingresos) extraordinarios 2.674 1.827 176.368 -16.086 43.495
Other Operating Expenses, Total -5.184 -4.452 31.051 -23.42 -19.88
Ingresos de explotación 889.499 880.155 210.433 1074.53 897.86
Ingresos por intereses (gastos), netos No operativos -73.071 -61.579 -49.88 -48.679 -54.947
Ingresos netos antes de impuestos 816.428 818.576 160.553 1025.85 842.913
Ingresos netos después de impuestos 669.027 685.747 85.359 891.025 736.548
Intereses menores -16.604 16.735 47.95 7.883 15.791
Beneficio neto antes de partidas extra. Elementos 652.423 702.482 133.309 898.908 752.339
Ingresos netos 652.423 702.482 133.309 898.908 752.339
Ingresos disponibles para los accionistas, excluyendo las partidas extra. Elementos 652.423 702.482 133.309 898.908 752.339
Ingresos disponibles para los accionistas, incluidos los elementos extra. Elementos 652.423 702.482 133.309 898.908 752.339
Beneficio neto diluido 652.423 736.306 99.485 929.591 721.656
Promedio ponderado de acciones diluidas 2539.26 2731.41 2770.23 2766.5 2773.74
BPA diluido sin partidas extraordinarias 0.25693 0.26957 0.03591 0.33602 0.26017
BPA normalizado diluido 0.2578 0.27013 0.06976 0.33097 0.27388
Ajuste por dilución 33.824 -33.824 30.683 -30.683
Dividends per Share - Common Stock Primary Issue 0 0 0.16296
  • Anual
  • Trimestral
2016 2017 2018 2019 2020 2021
Total Activo Corriente 2240.73 5276.22 4437.53 4596.18 6679.91 7790.7
Efectivo e inversiones a corto plazo 1039.77 3103.19 1860.74 2555.01 4363.7 4768.1
Efectivo y Equivalentes 677.598 2398.62 1792.6 2082.85 3090.83 2868.08
Inversiones a corto plazo 362.172 704.564 68.132 472.163 1272.86 1900.02
Total deudores, neto 904.221 1754.36 2141.37 1464.67 1534.66 1866.31
Accounts Receivable - Trade, Net 676.776 1185.78 1347.03 930.78 860.001 1288.83
Total Inventory 262.438 376.529 384.609 528.473 619.508 690.523
Prepaid Expenses 22.303 28.97 36.511 25.951 36.222 281.174
Other Current Assets, Total 11.999 13.167 14.305 22.073 125.823 184.592
Total Assets 11038.8 13753 13839.7 14809.3 17678.2 19212.6
Property/Plant/Equipment, Total - Net 1800.78 1759.67 1791.96 2324.73 2979.39 3828.25
Property/Plant/Equipment, Total - Gross 2389.87 2375.63 2532.97 3243.17 4075.5 5086.33
Accumulated Depreciation, Total -589.086 -615.962 -741.009 -918.436 -1096.11 -1258.08
Goodwill, Net 4126.18 3923.6 4089.06 4145.9 3918.92 3843.88
Intangibles, Net 2288.5 2253.52 2298.74 2165.14 1898.48 1849.16
Long Term Investments 135.709 81.843 701.596 1277.87 1654.38 1321.27
Note Receivable - Long Term 79.517 35.372 28.758 6.555 2.2 0
Other Long Term Assets, Total 367.381 422.757 492.008 292.933 544.91 579.31
Total Current Liabilities 1143.62 2195.81 1655.54 1611.73 1450.92 1419.99
Accounts Payable 58.792 274.568 112.915 149.763 203.286 230.407
Accrued Expenses 303.653 420.184 567.412 595.441 446.623 568.023
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 518.461 1087.47 570.328 489.424 367.158 160.753
Other Current Liabilities, Total 262.713 413.591 404.886 377.101 433.854 460.806
Total Liabilities 4516.3 6356.18 5225.22 5184.27 6988.88 6985.12
Total Long Term Debt 2540.68 3318.67 2724.34 2322 2546.96 2468.13
Long Term Debt 2540.68 3318.67 2724.34 2318.04 2514.74 2435.75
Deferred Income Tax 294.396 280.268 270.761 268.077 272.242 264.468
Minority Interest 243.843 232.858 292.937 734.278 2404.02 2430.35
Other Liabilities, Total 293.763 328.583 281.64 248.181 314.736 402.195
Total Equity 6522.5 7396.79 8614.43 9625.04 10689.3 12227.5
Common Stock 0.155 0.156 0.156 0.155 0.155 0.155
Additional Paid-In Capital 4547.14 4568.25 4585.73 4553.41 4645.02 4490.38
Retained Earnings (Accumulated Deficit) 1816.33 2751.72 3894.37 4868.09 5704.9 7534.44
Unrealized Gain (Loss) 0.057 -4.393 0.157 1.052 197.089 98.378
Other Equity, Total 158.821 81.058 174.597 202.329 142.15 104.103
Total Liabilities & Shareholders’ Equity 11038.8 13753 13839.7 14809.3 17678.2 19212.6
Total Common Shares Outstanding 2532.31 2538.8 2543.71 2535.05 2543.6 2522.36
Treasury Stock - Common -40.586 0
Capital Lease Obligations 3.964 32.219 32.38
Dec 2019 Jun 2020 Dec 2020 Jun 2021 Dec 2021
Total Activo Corriente 4596.18 6871.76 6679.91 7401.7 7790.7
Efectivo e inversiones a corto plazo 2555.01 4592.43 4363.7 4801.58 4768.1
Efectivo y Equivalentes 2082.85 3793.11 3090.83 2919.68 2868.08
Inversiones a corto plazo 472.163 799.321 1272.86 1881.9 1900.02
Total deudores, neto 1018.27 1182.39 982.965 1224.1 1378.76
Accounts Receivable - Trade, Net 930.78 1143.89 860.001 1153.44 1288.83
Total Inventory 528.473 569.884 619.508 681.498 690.523
Prepaid Expenses 472.36 504.847 587.917 582.659 768.726
Other Current Assets, Total 22.073 22.204 125.823 111.864 184.592
Total Assets 14809.3 17603.4 17678.2 18541.2 19212.6
Property/Plant/Equipment, Total - Net 2324.73 2455.11 2979.39 3435.99 3828.25
Goodwill, Net 4145.9 4197.85 3918.92 3886.33 3843.88
Intangibles, Net 2165.14 2118.73 1898.48 1851.26 1849.16
Long Term Investments 1277.87 1517.32 1654.38 1428.62 1321.27
Note Receivable - Long Term 6.555 3.576 2.2 0 0
Other Long Term Assets, Total 292.933 439.094 544.91 537.349 579.31
Total Current Liabilities 1611.73 1651.35 1450.92 1334.97 1419.99
Accounts Payable 149.763 166.198 203.286 214.946 230.407
Accrued Expenses 595.441 648.871 446.623 526.411 568.023
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 489.424 467.458 367.158 159.426 160.753
Other Current Liabilities, Total 377.101 368.823 433.854 434.183 460.806
Total Liabilities 5184.27 6926.82 6988.88 6808.73 6985.12
Total Long Term Debt 2322 3947.49 2546.96 2485.98 2468.13
Long Term Debt 2318.04 3920.38 2514.74 2452.38 2435.75
Capital Lease Obligations 3.964 27.11 32.219 33.601 32.38
Deferred Income Tax 268.077 274.327 272.242 266.194 264.468
Minority Interest 734.278 817.543 2404.02 2396.14 2430.35
Other Liabilities, Total 248.181 236.104 314.736 325.455 402.195
Total Equity 9625.04 10676.6 10689.3 11732.5 12227.5
Common Stock 0.155 0.155 0.155 0.156 0.155
Additional Paid-In Capital 4553.41 4553.19 4645.02 4665.96 4490.38
Retained Earnings (Accumulated Deficit) 4868.09 5570.57 5704.9 6777.63 7534.44
Treasury Stock - Common 0
Unrealized Gain (Loss) 1.052 216.446 197.089 162.96 98.378
Other Equity, Total 202.329 336.252 142.15 125.803 104.103
Total Liabilities & Shareholders’ Equity 14809.3 17603.4 17678.2 18541.2 19212.6
Total Common Shares Outstanding 2535.05 2538.53 2543.6 2549.25 2522.36
  • Anual
  • Trimestral
2016 2017 2018 2019 2020 2021
Ingresos netos/Línea de salida 850.068 1102.02 1495.51 1223.01 979.129 1868.77
Efectivo de actividades de explotación 1004.32 1074.1 1150.25 1887.38 1344.56 1578.34
Efectivo de actividades de explotación 102.338 128.453 165.248 198.9 204.383 205.65
Amortization 58.662 115.242 148.016 135.068 156.554 123.352
Partidas no monetarias 111.989 104.647 -152.08 341.251 560.395 -0.169
Cash Taxes Paid 122.244 130.286 263.338 355.329 254.046 286.822
Intereses pagados en efectivo 131.805 125.741 66.968 38.236 196.078 6.262
Cambios en el capital circulante -118.733 -376.261 -506.444 -10.848 -555.9 -619.254
Efectivo de actividades de inversión -4381.01 -643.215 -405.912 -1133.72 -1869.48 -1286.52
Gastos de capital -466.035 -259.237 -462.396 -486.253 -981.473 -1145.77
Otras partidas de flujo de caja de inversión, total -3914.97 -383.978 56.484 -647.464 -888.008 -140.743
Efectivo procedente de actividades de financiación 2710.21 1317.73 -1389.68 -454.4 1550.69 -481.119
Elementos de flujo de caja de financiación 192.643 -169.26 -9.427 108.099 1533.48 36.413
Emisión (retiro) de acciones, neto 0 -40.586 -31.046 -10.12 -408.764
Emisión (amortización) de deuda, neta 2517.56 1486.99 -1188.85 -515.114 27.326 -108.768
Efectos del cambio de divisas 44.678 -27.592 39.323 -9.025 -17.778 -33.468
Variación neta de la tesorería -621.8 1721.02 -606.016 290.242 1007.99 -222.758
Total Cash Dividends Paid -150.813 -16.339 0
Dec 2019 Jun 2020 Dec 2020 Jun 2021 Dec 2021
Net income/Starting Line 1223.01 818.576 979.129 1025.85 1868.77
Cash From Operating Activities 1887.38 708.237 1344.56 811.497 1578.34
Cash From Operating Activities 198.9 100.22 204.383 99.91 205.65
Amortization 135.068 74.305 156.554 59.811 123.352
Non-Cash Items 341.251 19.787 560.395 -79.445 -0.169
Cash Taxes Paid 355.329 73.849 254.046 123.958 286.822
Cash Interest Paid 38.236 6.834 196.078 1.552 6.262
Changes in Working Capital -10.848 -304.651 -555.9 -294.632 -619.254
Cash From Investing Activities -1133.72 -657.479 -1869.48 -765.999 -1286.52
Capital Expenditures -486.253 -335.578 -981.473 -530.541 -1145.77
Other Investing Cash Flow Items, Total -647.464 -321.901 -888.008 -235.458 -140.743
Cash From Financing Activities -454.4 1640.68 1550.69 -202.947 -481.119
Financing Cash Flow Items 108.099 97.69 1533.48 -0.987 36.413
Total Cash Dividends Paid -16.339 0
Issuance (Retirement) of Stock, Net -31.046 -10.906 -10.12 4.133 -408.764
Issuance (Retirement) of Debt, Net -515.114 1553.89 27.326 -206.093 -108.768
Foreign Exchange Effects -9.025 18.824 -17.778 -13.703 -33.468
Net Change in Cash 290.242 1710.26 1007.99 -171.152 -222.758
Nombre del Inversor Tipo de inversor Porcentaje pendiente Acciones en propiedad Cambio de acciones Fechas de holding Índice de rotación
Century Sunshine Ltd. Corporation 19.5486 476774553 0 2022-05-10
BlackRock Institutional Trust Company, N.A. Investment Advisor 3.2534 79347500 841000 2023-01-20 LOW
Lou (Jing) Individual Investor 2.0572 50174510 0 2022-01-25
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 2.0277 49453162 -1181000 2022-12-31 LOW
CS Sunshine Investment Ltd. Corporation 1.9999 48776909 -161636676 2022-09-14
Medical Recovery Ltd. Corporation 1.4347 34990480 0 2022-05-10
Huang (Bin) Individual Investor 1.3201 32197350 0 2021-12-31 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 1.2545 30596000 0 2023-01-31 LOW
Bankinter, S.A. (Madrid) Bank and Trust 1.0875 26524000 4036500 2022-06-30 MED
Su (Dongmei) Individual Investor 0.9998 24384630 0 2021-12-31 LOW
APG Asset Management N.V. Pension Fund 0.9187 22405800 3447276 2022-06-30 LOW
Universal Vintage Ltd. Corporation 0.679 16561000 -10000000 2022-05-10 MED
BlackRock Financial Management, Inc. Investment Advisor/Hedge Fund 0.6366 15527000 -92500 2023-01-20 LOW
BlackRock Asset Management Ireland Limited Investment Advisor 0.5205 12694000 510500 2023-01-20 LOW
BlackRock Advisors (UK) Limited Investment Advisor/Hedge Fund 0.497 12122000 -56000 2022-12-31 LOW
California State Teachers Retirement System Pension Fund 0.4325 10548249 7431325 2022-06-30 LOW
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 0.4103 10006006 -4737735 2022-12-31 LOW
BlackRock Investment Management (UK) Ltd. Investment Advisor/Hedge Fund 0.4032 9834444 -9033245 2023-01-19 LOW
HSBC Global Asset Management (Hong Kong) Limited Investment Advisor 0.3069 7484500 0 2022-05-31 LOW
Jupiter Asset Management Ltd. Investment Advisor/Hedge Fund 0.2685 6548500 6038000 2022-06-30 LOW

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Volumen mensual de inversión

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Retiros por mes

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Calculate your hypothetical P&L if you had opened a CFD trade on a certain date (select a date) and closed on a different date (select a date).

Comisión de la operación
0
  • 1:1
  • 2:1
  • 5:1
  • 10:1
  • 20:1
Apalancamiento
20:1
  • 20
  • 100
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Inversión
Tamaño de la operación (Apalancamiento x Inversión)
Apertura

Cierre

En corto En largo

3SBio Company profile

Sobre 3SBio Inc

3SBio Inc. es un holding de inversiones dedicado principalmente al desarrollo, producción, comercialización y venta de productos farmacéuticos. Los principales productos de la empresa incluyen productos de trombopoyetina humana recombinante (rhTPO), productos inhibidores del factor de necrosis tumoral (TNF)α y productos de eritropoyetina humana recombinante (rhEPO). Los productos se venden bajo el nombre de TPIAO, Yisaipu, EPIAO y SEPO. La empresa distribuye sus productos en el mercado nacional y en los mercados extranjeros, como Sri Lanka, República Dominicana y Tailandia. Las filiales de la empresa son Collected Mind Limited, Hongkong Sansheng Medical Limited y Shenyang Sunshine Pharmaceutical Co. A través de sus filiales, la empresa se dedica a la gestión de proyectos y a la consultoría.

Industry: Biopharmaceuticals

瀋陽經濟技術開發區十號路1甲3號
SHENYANG
LIAONING
CN

Cuenta de resultados

  • Annual
  • Quarterly

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