CFD-d on keerulised instrumendid, millega kaasneb võimenduse tõttu suur risk kiiresti raha kaotada. 84% jaeinvestoritest kaotab selle pakkuja juures CFD-dega kaubeldes raha. Mõelge järele, kas mõistate CFD-de toimimise põhimõtet ja kas saate endale lubada riski rahast ilma jääda.

Ost-müük Core Laboratories - CLBus CFD

25.75
11.14%
0.14
Madal: 23.53
Kõrge: 25.8
Market Trading Hours* (UTC) Opens on Monday at 13:30

Mon - Fri: 13:30 - 20:00

  • Kokkuvõte
  • Ajaloolised andmed
  • Sündmused
  • Tuluaruanne
  • Bilanss
  • Rahavood
  • Omand
Kauplemistingimused
Hinnavahe 0.14
Pika positsiooni ööpäeva tasu

Long position overnight fee


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

Mine platvormile
-0.025457%
Lühikese positsiooni ööpäeva tasu

Short position overnight fee


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

Mine platvormile
0.003235%
Ööpäeva tasu aeg 21:00 (UTC)
Min kauplemise kogus 1
Valuuta USD
Tagatis 20%
Aktsiabörs United States of America
Kauplemise vahendustasu 0%

*Information provided by Capital.com

Core Laboratories NV ESG Risk Ratings

High Medium Low Negligible

‘A’ score indicates excellent relative ESG performance and high degree of transparency in reporting material ESG data publicly

Võtmestatistika
Eelmine sulgemine* 23.17
Avatud* 23.53
Aastane muutus* -18.1%
Päeva ulatus* 23.53 - 25.8
52 nädala ulatus 13.19-31.42
Keskmine maht (10 päeva) 358.37K
Keskmine maht (3 kuud) 7.50M
Turukapitalisatsioon 1.05B
P/E suhtarv 44.53
Ringluses olevad aktsiad 46.66M
Tulu 502.79M
EPS 0.51
Dividendid (% kasumist) 0.1777
Beeta 2.67
Järgmine tuluaruande kuupäev Jul 25, 2023

Kõigi andmete allikas on Refinitiv, välja arvatud tärniga märgitud, kus *-ga andmed on esitanud Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Sulgemishind Change (%) Avamishind High Low
Jun 2, 2023 25.75 2.13 9.02% 23.62 25.89 23.50
Jun 1, 2023 23.17 1.30 5.94% 21.87 23.43 21.77
May 31, 2023 21.73 -0.10 -0.46% 21.83 22.24 21.57
May 30, 2023 22.03 -0.44 -1.96% 22.47 22.47 21.59
May 26, 2023 22.95 0.03 0.13% 22.92 23.29 22.71
May 25, 2023 22.72 -0.25 -1.09% 22.97 23.07 22.10
May 24, 2023 23.68 -0.19 -0.80% 23.87 24.32 23.15
May 23, 2023 23.92 0.24 1.01% 23.68 24.54 22.89
May 22, 2023 23.67 1.54 6.96% 22.13 24.20 22.12
May 19, 2023 21.75 0.52 2.45% 21.23 21.87 20.73
May 18, 2023 21.22 0.43 2.07% 20.79 21.30 20.11
May 17, 2023 21.03 0.53 2.59% 20.50 21.46 20.50
May 16, 2023 20.54 -0.02 -0.10% 20.56 21.15 20.28
May 15, 2023 21.01 0.61 2.99% 20.40 21.47 20.27
May 12, 2023 20.45 -0.20 -0.97% 20.65 20.77 20.06
May 11, 2023 20.54 -0.04 -0.19% 20.58 20.82 20.12
May 10, 2023 20.97 0.16 0.77% 20.81 21.15 20.47
May 9, 2023 20.95 0.44 2.15% 20.51 21.13 20.31
May 8, 2023 20.85 -1.08 -4.92% 21.93 21.97 20.72
May 5, 2023 21.81 0.07 0.32% 21.74 22.40 21.36

Core Laboratories Events

Kellaaeg (UTC) (UTC) Riik Sündmus
No events scheduled
Vaadake kõiki sündmusi
  • Aastas
  • Kvartalis
2022 2021 2020 2019 2018
Kogutulu 489.735 470.252 487.267 668.21 700.846
Tulu 489.735 470.252 487.267 668.21 700.846
Kulud, Kokku 393.655 367.896 374.767 495.579 496.964
Brutokasum 96.08 102.356 112.5 172.631 203.882
Kogu tegevuskulu 448.211 424.99 564.072 571.526 582.224
Müük/Üldine/admin kulud, kokku 38.117 44.173 34.033 48.023 62.91
Depreciation / Amortization 17.161 18.516 20.867 22.605 23.087
Intressikulu (tulu) - neto majandustegevusest 0.229 -0.228 1.16 1.725 2.598
Ootamatud kulutused (tulu) 2.264 -1.439 135.268 -1.737 -0.455
Other Operating Expenses, Total -3.215 -3.928 -2.023 5.331 -2.88
Tulud majandustegevusest 41.524 45.262 -76.805 96.684 118.622
Intressitulud (kulu), muud tulud, neto -11.57 -9.152 -14.372 -14.69 -13.328
Netotulu enne makse 29.954 36.11 -91.177 81.994 105.294
Netotulu pärast makse 19.658 20.219 -97.073 94.284 79.847
Vähemuse intress -0.205 -0.492 -0.14 -0.134 -0.263
Netotulu enne erikulusid 19.453 19.727 -97.213 94.15 79.584
Erakorralised kulud kokku 0 0 -0.424 7.833 -0.058
Netotulu 19.453 19.727 -97.637 101.983 79.526
Arvestatav tulu, v a erikulud 19.453 19.727 -97.213 94.15 79.584
Arvestatav tulu, koos erikuludega 19.453 19.727 -97.637 101.983 79.526
Jaotamisele kuuluv netotulu 19.453 19.727 -97.637 101.983 79.526
Keskmine jaotamisele kuuluv aktsia kohta 46.813 46.69 44.477 44.646 44.474
Jaotatav EPS, v a erakorralised kulud 0.41555 0.42251 -2.18569 2.10881 1.78945
Dividends per Share - Common Stock Primary Issue 0.04 0.04 0.28 2.2 2.2
Jaotamisele kuuluv normaal-EPS 0.44729 0.40525 -0.20885 2.08352 1.78169
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Kogutulu 128.356 127.571 125.966 120.898 115.3
Tulu 128.356 127.571 125.966 120.898 115.3
Kulud, Kokku 101.528 99.816 98.93 97.957 96.952
Brutokasum 26.828 27.755 27.036 22.941 18.348
Kogu tegevuskulu 121.875 111.953 111.321 109.246 115.691
Müük/Üldine/admin kulud, kokku 16.331 8.724 10.001 6.847 12.545
Depreciation / Amortization 4.044 4.073 4.171 4.36 4.557
Intressikulu (tulu) - neto majandustegevusest -0.144 0.691 -1.303 1.258 -0.417
Ootamatud kulutused (tulu) 1.752 -0.705 -0.096 -0.111 3.175
Other Operating Expenses, Total -1.636 -0.646 -0.382 -1.065 -1.121
Tulud majandustegevusest 6.481 15.618 14.645 11.652 -0.391
Intressitulud (kulu), muud tulud, neto -3.429 -3.081 -3.138 -2.707 -2.644
Netotulu enne makse 3.052 12.537 11.507 8.945 -3.035
Netotulu pärast makse 2.442 6.69 7.651 7.156 -1.839
Vähemuse intress -0.069 0.061 -0.127 -0.09 -0.049
Netotulu enne erikulusid 2.373 6.751 7.524 7.066 -1.888
Erakorralised kulud kokku 0
Netotulu 2.373 6.751 7.524 7.066 -1.888
Arvestatav tulu, v a erikulud 2.373 6.751 7.524 7.066 -1.888
Arvestatav tulu, koos erikuludega 2.373 6.751 7.524 7.066 -1.888
Jaotamisele kuuluv netotulu 2.373 6.751 7.524 7.066 -1.888
Keskmine jaotamisele kuuluv aktsia kohta 47.481 46.379 47.012 47.143 46.298
Jaotatav EPS, v a erakorralised kulud 0.04998 0.14556 0.16004 0.14988 -0.04078
Dividends per Share - Common Stock Primary Issue 0.01 0.01 0.01 0.01 0.01
Jaotamisele kuuluv normaal-EPS 0.0795 0.13745 0.15869 0.148 0.0038
  • Aastas
  • Kvartalis
2022 2021 2020 2019 2018
Käibevarad kokku 211.702 189.055 165.848 221.237 230.977
Raha ja lühiajalised investeeringud 15.428 17.703 13.806 11.092 13.116
Raha ja ekvivalendid 15.428 17.703 13.806 11.092 13.116
Laekumata arved, neto 115.103 106.741 92.867 138.106 143.15
Accounts Receivable - Trade, Net 106.913 96.83 83.192 131.579 129.157
Total Inventory 60.445 45.443 38.151 50.163 45.664
Prepaid Expenses 15.665 14.059 14.797 15.951 15.351
Other Current Assets, Total 5.061 5.109 6.227 5.925 13.696
Total Assets 578.354 580.853 568.579 774.673 648.827
Property/Plant/Equipment, Total - Net 157.407 172.339 181.678 199.203 122.917
Property/Plant/Equipment, Total - Gross 472.144 478.8 475.656 481.39 400.174
Accumulated Depreciation, Total -314.737 -306.461 -293.978 -282.187 -277.257
Goodwill, Net 99.445 99.445 99.445 213.425 219.412
Intangibles, Net 7.483 8.139 8.583 17.45 13.054
Long Term Investments 3.76
Other Long Term Assets, Total 102.317 111.875 113.025 123.358 58.707
Total Current Liabilities 103.135 90.782 89.75 111.594 102.547
Accounts Payable 45.847 29.726 23.028 35.611 41.155
Accrued Expenses 39.952 39.106 44.519 46.896 30.037
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 17.336 21.95 22.203 29.087 31.355
Total Liabilities 394.096 424.404 497.066 596.808 492.068
Total Long Term Debt 172.386 188.636 259.433 305.283 289.77
Long Term Debt 172.386 188.636 259.433 305.283 289.77
Deferred Income Tax 22.877 24.336 20.585 26.284 7.634
Minority Interest 4.696 4.552 4.06 4.275 4.141
Other Liabilities, Total 91.002 116.098 123.238 149.372 87.976
Total Equity 184.258 156.449 71.513 177.865 156.759
Preferred Stock - Non Redeemable, Net 0 0
Common Stock 1.194 1.188 1.148 1.148 1.148
Additional Paid-In Capital 102.254 101.12 41.184 51.872 57.438
Retained Earnings (Accumulated Deficit) 85.949 68.349 50.456 160.539 156.13
Treasury Stock - Common -1.362 -4.075 -14.075 -29.364 -52.501
Unrealized Gain (Loss) 1.331 -4.538 -1.825 -5.64 -6.243
Other Equity, Total -5.108 -5.595 -5.375 -0.69 0.787
Total Liabilities & Shareholders’ Equity 578.354 580.853 568.579 774.673 648.827
Total Common Shares Outstanding 46.6319 46.3494 44.5728 44.4656 44.3168
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Käibevarad kokku 227.927 211.702 195.215 199.621 202.192
Raha ja lühiajalised investeeringud 16.285 15.428 13.732 16.148 22.037
Raha ja ekvivalendid 16.285 15.428 13.732 16.148 22.037
Laekumata arved, neto 124.48 115.103 109.493 111.499 113.54
Accounts Receivable - Trade, Net 110.699 106.913 100.195 99.18 98.9
Total Inventory 67.342 60.445 54.795 52.551 48.224
Prepaid Expenses 13.197 15.665 11.514 14.252 13.611
Other Current Assets, Total 6.623 5.061 5.681 5.171 4.78
Total Assets 593.617 578.354 570.19 577.54 584.918
Property/Plant/Equipment, Total - Net 159.004 157.407 163.841 167.14 170.094
Goodwill, Net 99.445 99.445 99.445 99.445 99.445
Intangibles, Net 7.268 7.483 7.651 7.837 7.979
Other Long Term Assets, Total 99.973 102.317 104.038 103.497 105.208
Total Current Liabilities 95.624 103.135 87.359 95.909 99.762
Accounts Payable 38.366 45.847 34.343 36.106 34.405
Accrued Expenses 38.247 39.952 37.323 42.291 43.929
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 19.011 17.336 15.693 17.512 21.428
Total Liabilities 398.231 394.096 391.654 408.403 423.133
Total Long Term Debt 180.44 172.386 182.677 186.979 189.807
Long Term Debt 180.44 172.386 182.677 186.979 189.807
Deferred Income Tax 22.268 22.877 22.719 23.322 23.27
Minority Interest 4.765 4.696 4.757 4.63 4.601
Other Liabilities, Total 95.134 91.002 94.142 97.563 105.693
Total Equity 195.386 184.258 178.536 169.137 161.785
Preferred Stock - Non Redeemable, Net 0 0
Common Stock 1.194 1.194 1.188 1.188 1.188
Additional Paid-In Capital 111.235 102.254 106.329 104.779 107.088
Retained Earnings (Accumulated Deficit) 87.855 85.949 79.662 72.601 65.998
Treasury Stock - Common -1.36 -1.362 -4.143 -4.682 -5.736
Unrealized Gain (Loss) 1.541 1.331 1.095 0.846 -1.158
Other Equity, Total -5.079 -5.108 -5.595 -5.595 -5.595
Total Liabilities & Shareholders’ Equity 593.617 578.354 570.19 577.54 584.918
Total Common Shares Outstanding 46.634 46.6319 46.3447 46.3248 46.2837
Property/Plant/Equipment, Total - Gross 417.368 419.765 420.352 418.98
Accumulated Depreciation, Total -315.027 -314.737 -313.1 -309.804
  • Aastas
  • Kvartalis
2022 2021 2020 2019 2018
Netotulu/algväärtus 19.658 20.219 -97.073 94.284 79.847
Raha majandustegevusest 24.956 36.579 57.868 89.527 111.827
Raha majandustegevusest 17.161 18.516 20.867 22.605 23.087
Deferred Taxes 0.433 6.012 -12.216 -36.345 1.832
Mittelikviidsed varad 12.723 12.395 140.351 16.69 36.052
Cash Taxes Paid 14.078 9.066 21.325 13.804 31.928
Makstud intressid 9.3 10.477 11.669 13.631 11.499
Muutused tööjõus -25.019 -20.563 5.939 -7.707 -28.991
Tulu investeeringutelt -3.856 -10.223 7.851 -5.677 -70.639
Kapitalikulutused -10.216 -13.539 -11.88 -22.269 -22.931
Muud rahavood investeeringutelt, kokku 6.36 3.316 19.731 16.592 -47.708
Rahavood investeeringutelt -23.375 -22.459 -63.005 -85.874 -42.472
Rahavoogudesse investeerimine -2.619 -1.369 -1.766 0.008 -1.77
Total Cash Dividends Paid -1.853 -1.834 -12.446 -97.574 -97.251
Aktsiate emiteerimine (tagasiost), neto -3.903 51.744 -2.793 -3.308 -7.451
Laenu väljastamine (kustutamine), neto -15 -71 -46 15 64
Rahaline kogumuutus -2.275 3.897 2.714 -2.024 -1.284
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 2.442 19.658 12.968 5.317 -1.839
Cash From Operating Activities -3.169 24.956 11.745 5.895 5.29
Cash From Operating Activities 4.044 17.161 13.088 8.917 4.557
Deferred Taxes 0.936 0.433 -1.807 0.53 1.698
Non-Cash Items 9.242 12.723 13.89 10.043 8.529
Cash Taxes Paid 1.541 14.078 10.475 6.966 2.691
Cash Interest Paid 2.956 9.3 7.101 4.359 2.508
Changes in Working Capital -19.833 -25.019 -26.394 -18.912 -7.655
Cash From Investing Activities -2.038 -3.856 -4.914 -2.357 0.428
Capital Expenditures -2.208 -10.216 -8.195 -5.493 -2.297
Other Investing Cash Flow Items, Total 0.17 6.36 3.281 3.136 2.725
Cash From Financing Activities 6.064 -23.375 -10.802 -5.093 -1.384
Financing Cash Flow Items -1.469 -2.619 -2.102 -0.001 -0.001
Total Cash Dividends Paid -0.466 -1.853 -1.389 -0.926 -0.463
Issuance (Retirement) of Stock, Net -0.001 -3.903 -2.311 -2.166 -1.92
Issuance (Retirement) of Debt, Net 8 -15 -5 -2 1
Net Change in Cash 0.857 -2.275 -3.971 -1.555 4.334

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Core Laboratories Company profile

Ettevõttest Core Laboratories

Core Laboratories N.V. pakub nafta- ja gaasitööstusele varude kirjeldamise, tootmise suurendamise ja varude haldamise teenuseid. Ettevõte tegutseb kolme segmendi kaudu: reservuaaride kirjeldamine, tootmise suurendamine ja reservuaaride haldamine. Reservuaaride kirjeldamise segment hõlmab naftareservuaaride kivimi-, vedeliku- ja gaasiproovide iseloomustamist. Ettevõte pakub nafta- ja gaasitööstusele analüütilisi ja kohapealseid teenuseid toornafta ja naftatoodete omaduste iseloomustamiseks. Tootmise suurendamise segment hõlmab tooteid ja teenuseid, mis on seotud reservuaaride puuraukude täitmisega, perforeerimisega, stimuleerimisega ja tootmisega. Ta pakub integreeritud diagnostilisi teenuseid, et hinnata puuraukude lõpetamise tõhusust. Reservuaarihalduse segment ühendab ja integreerib teavet reservuaaride kirjeldamise ja tootmise parandamise teenuste kohta, et suurendada nafta ja gaasi tootmist ja kaevandamist oma klientide reservuaaridest.

Industry: Oil Related Services and Equipment (NEC)

Van Heuven Goedhartlaan 7 B
1181 LE

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