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 Puregold Price Club, Inc. - PGCMF CFD

0.56
0%
  • Kokkuvõte
  • Ajaloolised andmed
  • Sündmused
  • Tuluaruanne
  • Bilanss
  • Rahavood
  • Omand
Kauplemistingimused
Hinnavahe 0.11
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

Puregold Price Club Inc ESG Risk Ratings

High Medium Low Negligible

‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.

Võtmestatistika
Eelmine sulgemine* N/A
Avatud* N/A
Aastane muutus* N/A
Päeva ulatus* N/A
52 nädala ulatus 26.50-37.85
Keskmine maht (10 päeva) 1.45M
Keskmine maht (3 kuud) 25.53M
Turukapitalisatsioon 96.05B
P/E suhtarv 10.74
Ringluses olevad aktsiad 2.88B
Tulu 176.45B
EPS 3.11
Dividendid (% kasumist) 2.57871
Beeta 0.53
Järgmine tuluaruande kuupäev Mar 29, 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
Feb 10, 2023 0.56 0.00 0.00% 0.56 0.56 0.56
Jan 30, 2023 0.62 0.07 12.73% 0.55 0.62 0.55
Jan 27, 2023 0.62 0.00 0.00% 0.62 0.62 0.62
Jan 26, 2023 0.65 0.00 0.00% 0.65 0.65 0.65
Jan 24, 2023 0.62 0.02 3.33% 0.60 0.62 0.60
Jan 23, 2023 0.62 0.02 3.33% 0.60 0.62 0.60
Jan 20, 2023 0.60 0.00 0.00% 0.60 0.60 0.60
Jan 19, 2023 0.60 0.00 0.00% 0.60 0.60 0.60
Jan 18, 2023 0.60 0.00 0.00% 0.60 0.60 0.60
Jan 13, 2023 0.58 0.00 0.00% 0.58 0.58 0.58
Jan 12, 2023 0.58 0.00 0.00% 0.58 0.58 0.58
Jan 11, 2023 0.58 0.00 0.00% 0.58 0.58 0.58
Jan 6, 2023 0.57 0.00 0.00% 0.57 0.57 0.57
Jan 5, 2023 0.58 0.00 0.00% 0.58 0.58 0.58
Jan 4, 2023 0.57 0.00 0.00% 0.57 0.57 0.57
Jan 3, 2023 0.57 0.00 0.00% 0.57 0.57 0.57
Dec 30, 2022 0.57 0.00 0.00% 0.57 0.57 0.57
Dec 29, 2022 0.57 0.00 0.00% 0.57 0.57 0.57
Dec 28, 2022 0.56 0.00 0.00% 0.56 0.57 0.56
Dec 27, 2022 0.55 0.00 0.00% 0.55 0.55 0.55

Puregold Price Club, Inc. Events

Kellaaeg (UTC) (UTC) Riik Sündmus
Monday, August 7, 2023

Kellaaeg (UTC) (UTC)

10:59

Riik

PH

Sündmus

Q2 2023 Puregold Price Club Inc Earnings Release
Q2 2023 Puregold Price Club Inc Earnings Release

Forecast

-

Previous

-
Wednesday, November 15, 2023

Kellaaeg (UTC) (UTC)

07:30

Riik

PH

Sündmus

Q3 2023 Puregold Price Club Inc Earnings Release
Q3 2023 Puregold Price Club Inc Earnings Release

Forecast

-

Previous

-
Vaadake kõiki sündmusi
  • Aastas
  • Kvartalis
2022 2021 2020 2019 2018
Kogutulu 184303 164125 168632 154490 141139
Tulu 184303 164125 168632 154490 141139
Kulud, Kokku 150483 134042 139476 128540 117211
Brutokasum 33819.7 30082.8 29156.1 25950.6 23928.6
Kogu tegevuskulu 169819 151149 155244 143061 130867
Müük/Üldine/admin kulud, kokku 5524.28 4893.14 4749.08 4258.85 4040.54
Depreciation / Amortization 4582.78 4662.49 4316.07 3820.99 3479.55
Ootamatud kulutused (tulu) -3.00568 -34.0394 -30.3239 -45.9635 -41.2012
Other Operating Expenses, Total 9231.29 7584.94 6733.29 6487.08 6177.71
Tulud majandustegevusest 14484.3 12976.2 13388 11429.6 10272
Intressitulud (kulu), muud tulud, neto -2257.49 -2383.92 -1954.11 -1835.22 -1542.7
Gain (Loss) on Sale of Assets 0 0.15431
Muud, neto -2.30723 59.4969 -0.77243 -14.5519 -26.7479
Netotulu enne makse 12224.5 10651.8 11433.1 9579.82 8702.68
Netotulu pärast makse 9287.43 8180.02 8066.83 6772.79 6199.5
Netotulu enne erikulusid 9287.43 8180.02 8066.83 6772.79 6199.5
Netotulu 9287.43 8180.02 8066.83 6772.79 6199.5
Arvestatav tulu, v a erikulud 9287.43 8180.02 8066.83 6772.79 6199.5
Arvestatav tulu, koos erikuludega 9287.43 8180.02 8066.83 6772.79 6199.5
Jaotamisele kuuluv netotulu 9287.43 8180.02 8066.83 6772.79 6199.5
Keskmine jaotamisele kuuluv aktsia kohta 2866.54 2869.1 2869.68 2860.99 2765.38
Jaotatav EPS, v a erakorralised kulud 3.23995 2.85108 2.81105 2.36729 2.24182
Dividends per Share - Common Stock Primary Issue 0.86 0.25 0.25 0.2 0.2
Jaotamisele kuuluv normaal-EPS 3.23915 2.84197 2.8036 2.35593 2.23117
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Kogutulu 44352.4 184303 45327.5 43728.5 38507.3
Tulu 44352.4 184303 45327.5 43728.5 38507.3
Kulud, Kokku 35831.8 150483 37037.5 35751.2 30809.1
Brutokasum 8520.59 33819.7 8290.03 7977.34 7698.22
Kogu tegevuskulu 40773.1 169819 41811.1 40409.9 35053.8
Müük/Üldine/admin kulud, kokku 1394.97 5524.28 1352.41 1254.54 1206.21
Depreciation / Amortization 1200.6 4582.78 1139.13 1143.26 1110.61
Ootamatud kulutused (tulu) -1.82869 -3.00568 -4.59312 3.93176 -2.34432
Other Operating Expenses, Total 2347.54 9231.29 2286.63 2256.99 1930.17
Tulud majandustegevusest 3579.32 14484.3 3516.45 3318.62 3453.57
Intressitulud (kulu), muud tulud, neto -469.893 -2257.49 -536.233 -613.876 -610.665
Gain (Loss) on Sale of Assets 0
Muud, neto 6.31207 -2.30723 -0.18755 -0.05932 -0.09952
Netotulu enne makse 3115.74 12224.5 2980.03 2704.69 2842.81
Netotulu pärast makse 2406.17 9287.43 2274.38 2047.9 2151.23
Netotulu enne erikulusid 2406.17 9287.43 2274.38 2047.9 2151.23
Netotulu 2406.17 9287.43 2274.38 2047.9 2151.23
Arvestatav tulu, v a erikulud 2406.17 9287.43 2274.38 2047.9 2151.23
Arvestatav tulu, koos erikuludega 2406.17 9287.43 2274.38 2047.9 2151.23
Jaotamisele kuuluv netotulu 2406.17 9287.43 2274.38 2047.9 2151.23
Keskmine jaotamisele kuuluv aktsia kohta 2865.59 2866.54 2878.96 2866.99 2867.52
Jaotatav EPS, v a erakorralised kulud 0.83968 3.23995 0.79 0.7143 0.7502
Dividends per Share - Common Stock Primary Issue 0 0.86 0 0 0
Jaotamisele kuuluv normaal-EPS 0.83918 3.23915 0.78878 0.71534 0.74959
  • Aastas
  • Kvartalis
2022 2021 2020 2019 2018
Käibevarad kokku 78998.1 65930.7 59388.2 40040.4 36065.9
Raha ja lühiajalised investeeringud 43644.6 41342.3 35135.5 17118.4 10723.9
Cash 14273.5 8865.95 11056.8 6654.45 3503.6
Raha ja ekvivalendid 25071.7 32445.6 21667.3 10429 7183.76
Lühiajalised investeeringud 4299.38 30.7258 2411.38 34.9206 36.5026
Laekumata arved, neto 3822.76 2626.06 3067.99 3020.34 5147.25
Accounts Receivable - Trade, Net 2296.19 1318.14 1665.51 2161.37 3375.74
Total Inventory 28214.7 21558.6 20918.3 19526.2 19731.8
Prepaid Expenses 3315.97 403.698 266.369 375.443 462.991
Total Assets 163798 139434 131594 108635 100850
Property/Plant/Equipment, Total - Net 60184.6 49286.1 48103.4 44986.4 41759.5
Property/Plant/Equipment, Total - Gross 96021.5 79520.3 62884.4 57563.6 52363.5
Accumulated Depreciation, Total -35837 -30234.3 -14781 -12577.2 -10604
Goodwill, Net 14902.4 14902.4 14902.4 14902.4 14902.4
Intangibles, Net 4746.31 4755.82 4766.13 4777.1 4778.95
Long Term Investments 661.885 636.548 636.548 622.981 603.175
Other Long Term Assets, Total 4304.25 3922.26 3796.9 3305.57 2739.86
Total Current Liabilities 29877.3 17184.8 17102.5 15490.8 18247.2
Accounts Payable 16511.3 10123.7 9358.07 8640.01 9287.94
Accrued Expenses 2400.03 1529.69 1575.05 1310.4 1188.68
Notes Payable/Short Term Debt 0 0 0 501.57 4756.3
Current Port. of LT Debt/Capital Leases 1442.64 1211.72 896.501 490.192 640.847
Other Current Liabilities, Total 9523.25 4319.74 5272.87 4548.64 2373.49
Total Liabilities 81152.9 63957.8 63091.8 46735.4 47838
Total Long Term Debt 49442.9 45477.7 44606.2 30325.6 29112.3
Long Term Debt 11545.8 11650.5 11875.1 400 1840
Deferred Income Tax
Other Liabilities, Total 1832.77 1295.3 1383.06 919.085 478.496
Total Equity 82644.6 75476 68501.7 61899.4 53011.8
Common Stock 2904.21 2904.21 2904.21 2904.21 2799.91
Additional Paid-In Capital 25373.5 25361.7 25361.7 25361.7 20830.4
Retained Earnings (Accumulated Deficit) 53994.5 47171.5 40425.7 33650.2 29179
Treasury Stock - Common -209.597 -112.593 -71.2535 -71.2535 -71.2535
Other Equity, Total 581.938 151.224 -118.634 54.4675 273.741
Total Liabilities & Shareholders’ Equity 163798 139434 131594 108635 100850
Total Common Shares Outstanding 2865.59 2868.54 2869.68 2869.68 2765.38
Capital Lease Obligations 37897.1 33827.2 32731.1 29925.6 27272.3
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Käibevarad kokku 70249.7 78998.1 65413.1 64376.3 63404
Raha ja lühiajalised investeeringud 33916.3 43644.6 30506.1 34426.3 35398.1
Cash 8307.34 14273.5 4751.21 6697.49 6046.28
Raha ja ekvivalendid 20985.2 25071.7 21746.2 24701.3 26316.7
Lühiajalised investeeringud 4623.85 4299.38 4008.71 3027.49 3035.09
Laekumata arved, neto 3766.83 3822.76 2881.46 2954.49 3313.54
Accounts Receivable - Trade, Net 560.813 2296.19 710.868 831.075 1152.81
Total Inventory 30153.7 28214.7 31401.9 26233 23733.6
Prepaid Expenses 2412.75 3315.97 623.617 762.515 958.727
Total Assets 156426 163798 142154 138984 136950
Property/Plant/Equipment, Total - Net 61489.2 60184.6 51444.7 50022.3 49243.1
Property/Plant/Equipment, Total - Gross 98315.8 96021.5 84793.8 82308.9 80532.2
Accumulated Depreciation, Total -36826.6 -35837 -33349.1 -32286.5 -31289.1
Goodwill, Net 14902.4 14902.4 14902.4 14902.4 14902.4
Intangibles, Net 4761.49 4746.31 4749.69 4757.95 4763.21
Long Term Investments 661.885 661.885 699.048 636.548 636.548
Other Long Term Assets, Total 4361.48 4304.25 4945.31 4288.02 4000.54
Total Current Liabilities 19620.2 29877.3 11387.3 11674.7 12491.7
Accounts Payable 9272.74 16511.3 6095.22 6219.72 6321.2
Accrued Expenses 2100.68 2400.03 1925.73 1633.41 1309.16
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 1492.46 1442.64 1076.49 1102.29 1149.86
Other Current Liabilities, Total 6754.32 9523.25 2289.81 2719.3 3711.47
Total Liabilities 71375.3 81152.9 60274.9 59378.6 59376.7
Total Long Term Debt 49999.8 49442.9 47600.2 46416 45592.4
Long Term Debt 11549.6 11545.8 11542 11658.1 11654.3
Capital Lease Obligations 38450.1 37897.1 36058.2 34757.9 33938.1
Other Liabilities, Total 1755.35 1832.77 1287.51 1287.91 1292.59
Total Equity 85050.8 82644.6 81879.3 79604.9 77573.1
Common Stock 2904.21 2904.21 2904.21 2904.21 2904.21
Additional Paid-In Capital 25373.5 25373.5 25361.7 25361.7 25361.7
Retained Earnings (Accumulated Deficit) 56400.7 53994.5 53645 51370.6 49322.7
Treasury Stock - Common -209.597 -209.597 -182.786 -182.786 -166.74
Other Equity, Total 581.938 581.938 151.224 151.224 151.224
Total Liabilities & Shareholders’ Equity 156426 163798 142154 138984 136950
Total Common Shares Outstanding 2865.59 2865.59 2866.59 2866.59 2867.49
  • Aastas
  • Kvartalis
2022 2021 2020 2019 2018
Netotulu/algväärtus 12224.5 10651.8 11433.1 9579.82 8702.68
Raha majandustegevusest 13215.4 14996 14702.8 15072.9 9614.72
Raha majandustegevusest 4536.38 4619.91 4276.42 3778.17 3442.51
Mittelikviidsed varad 2517.22 2547.93 2117.79 1880.02 1665.84
Cash Taxes Paid 2898.18 2682.37 2951.06 2764.17 2882.8
Makstud intressid 2892.48 2784.11 2271.44 2086.99 2025.53
Muutused tööjõus -6109.15 -2866.22 -3164.23 -207.945 -4233.35
Tulu investeeringutelt -9185.75 -1336.83 -5755.87 -3772.91 -3395.38
Kapitalikulutused -4147.36 -3665.29 -3205.69 -3776.1 -3578.31
Muud rahavood investeeringutelt, kokku -5038.39 2328.46 -2550.18 3.19317 182.932
Rahavood investeeringutelt -5995.97 -5071.68 6693.76 -4903.88 -3597.63
Total Cash Dividends Paid -1434.27 -1291.36 -1147.87 -1153.69 -1106.15
Laenu väljastamine (kustutamine), neto -1572.21 -954.869 10242.1 -6298.77 -465.947
Rahaline kogumuutus -1966.33 8587.5 15640.6 6396.1 2621.71
Rahavoogudesse investeerimine -2892.48 -2784.11 -2400.44 -2086.99 -2025.53
Amortization 46.3995 42.5809 39.6511 42.8199 37.0381
Aktsiate emiteerimine (tagasiost), neto -97.004 -41.3397 4635.58
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 3115.74 12224.5 8527.53 5547.5 2842.81
Cash From Operating Activities -4477.46 13215.4 -2672.25 -1549.79 -2707.26
Cash From Operating Activities 1188.33 4536.38 3358.17 2230.61 1099.82
Amortization 12.2646 46.3995 34.8309 23.2618 10.787
Non-Cash Items 462.444 2517.22 1770.29 1232.5 608.969
Cash Taxes Paid 0 2898.18 2216.75 1564.59 0
Cash Interest Paid 786.761 2892.48 2132.96 1409.93 693.313
Changes in Working Capital -9256.24 -6109.15 -16363.1 -10583.7 -7269.65
Cash From Investing Activities -1770.18 -9185.75 -7562.12 -4919.9 -3794.34
Capital Expenditures -1411.47 -4147.36 -2596.76 -1619.62 -745.235
Other Investing Cash Flow Items, Total -358.707 -5038.39 -4965.36 -3300.28 -3049.1
Cash From Financing Activities -3805.13 -5995.97 -4579.81 -3443.11 -2446.98
Financing Cash Flow Items -863.986 -2892.48 -2132.96 -1409.93 -693.313
Total Cash Dividends Paid -2464.4 -1434.27 -1434.27 -1434.27 -1434.27
Issuance (Retirement) of Debt, Net -476.736 -1572.21 -942.395 -528.725 -265.253
Net Change in Cash -10052.8 -1966.33 -14814.2 -9912.81 -8948.58
Issuance (Retirement) of Stock, Net 0 -97.004 -70.1928 -70.1928 -54.1464
Investori nimi Investori liik Ringluse protsent Hoitud osakud Muutus osakutes Hoidmise kuupäev Hinnang käibele
Cosco Capital Inc Corporation 48.9861 1410867188 0 2022-09-30
Co (Lucio L.) Individual Investor 7.3291 211088022 0 2022-09-30 LOW
Co (Susan P..) Individual Investor 6.1887 178242585 0 2022-09-30
Government Service Insurance System Government Agency 2.3312 67141242 7610000 2021-12-31 LOW
Lazard Asset Management, L.L.C. Investment Advisor/Hedge Fund 1.5035 43303300 0 2023-03-31 LOW
Impax Asset Management Ltd. Investment Advisor 1.3896 40023600 0 2023-04-30 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 1.0154 29244585 0 2023-04-30 LOW
Co (Pamela Justine P.) Individual Investor 0.9274 26709460 0 2022-09-30
Co (Ferdinand Vincent P.) Individual Investor 0.9274 26709460 0 2022-09-30
Social Security System Government Agency 0.9116 26255640 7932440 2021-12-31 LOW
Grandeur Peak Global Advisors, LLC Investment Advisor/Hedge Fund 0.7397 21303197 -650000 2023-01-31 LOW
Genesis Investment Management, LLP Investment Advisor/Hedge Fund 0.6307 18164201 -851800 2023-03-31 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 0.5264 15160110 19400 2023-04-30 LOW
Entenso Equities Inc Corporation 0.5052 14551209 0 2022-09-30
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 0.4423 12738530 0 2023-04-30 LOW
Tundra Fonder AB Investment Advisor 0.3819 11000000 0 2023-04-30
Schroder Investment Management Ltd. (SIM) Investment Advisor/Hedge Fund 0.3737 10763200 0 2023-02-28 LOW
HSBC Global Asset Management (UK) Limited Investment Advisor/Hedge Fund 0.3322 9568590 473 2022-12-31 LOW
Franklin Templeton Investments (Middle East) Limited Investment Advisor 0.293 8439870 1396500 2022-12-31 LOW
Co (Camille Clarisse P.) Individual Investor 0.2832 8155288 0 2022-09-30

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Puregold Price Club, Inc. Company profile

Ettevõttest Puregold Price Club, Inc.

Puregold Price Club, Inc. on Filipiinidel asuv ettevõte, mis tegeleb kaupade, näiteks tarbekaupade (muu hulgas konservid, kodutarbed, hügieenitarbed, kuivained ja toiduained) hulgi- ja jaemüügiga. Ettevõte tegutseb jaemüügi ärisegmendis. Ettevõte tegutseb hüpermarketi Puregold Price Club kaudu, mis pakub mitmesuguseid toidukaupu ja muid tooteid ning on suunatud nii jaeklientidele kui ka edasimüüjatele. Ettevõttel on supermarketite kett Puregold Junior, mida haldab tema tütarettevõte Puregold Junior Supermarket, Inc. Tema Puregold Extra on väike kaupluse formaat, mis pakub kaubavalikut, mis koosneb ettevõtte laoühikutest (SKU) vahemikus 3000-5000. See tegutseb erinevates kohtades asuvate kaupluste kaudu. Selle kaupluses pakutakse toidukaupu, rõivaid, majapidamistarvikuid ja mööblit. Tal on ligikaudu 280 tegutsevat kauplust ja üle 20 toitlustuskoha.

Industry: Supermarkets & Convenience Stores

No. 900 Romualdez Street, Paco
MANILA
PH

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Ööpäeva tasu aeg 21:00 (UTC)
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