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Trgovina Distell Group Holdings Limited - DSTZF CFD

9.23
1.07%
  • Sažetak
  • Podaci iz povijesti
  • Događaji
  • Izjave o prihodima
  • Tablica stanja računa
  • Tok novca
  • Vlasništvo
Uvjeti trgovanja
Spread 1.46
Noćna naknada za dugu poziciju

Long position overnight fee


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

Idite na platformu
-0.025457%
Noćna naknada za kratku poziciju

Short position overnight fee


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

Idite na platformu
0.003235%
Vrijeme noćne naknade 21:00 (UTC)
Minimalna količina kojom se trguje 1
Valuta USD
Margina 20%
Burza dionica United States of America
Provizija na trgovanje 0%

*Information provided by Capital.com

Distell Group Holdings Ltd 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.

Ključni statistički podaci
Zatvori pregled* 9.33
Otvori* 9.24
Godišnja promjena* -1.18%
Dnevni raspon* 9.23 - 9.24
Raspon u 52 tjedna 165.97-180.00
Prosječni volume (10 dana) 256.27K
Prosječni volumen (3 mjeseca) 3.79M
Tržišna kapitalizacija 38.87B
Omjer P/E 16.23
Istaknute dionice 220.10M
Prihod 34.13B
EPS 10.75
Dividend (Yield %) N/A
Beta 0.50
Next Earnings Date Feb 22, 2023

Sve je podatke osigurao Refinitiv, osim podataka označenih zvjezdicom, a to su *podaci koje osigurava Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Zatvaranje Change Change (%) Otvaranje High Low
Feb 10, 2023 9.23 -0.01 -0.11% 9.24 9.24 9.23
Feb 9, 2023 9.33 -0.09 -0.96% 9.42 9.42 9.33
Feb 8, 2023 9.03 -0.35 -3.73% 9.38 9.38 9.03
Feb 7, 2023 9.08 -0.34 -3.61% 9.42 9.42 9.08
Feb 6, 2023 9.41 -0.01 -0.11% 9.42 9.42 9.38
Jan 31, 2023 9.50 -0.01 -0.11% 9.51 9.52 9.50
Sep 13, 2022 9.31 0.00 0.00% 9.31 9.31 9.31
Sep 1, 2022 9.07 0.00 0.00% 9.07 9.07 9.07
Aug 17, 2022 9.48 -0.04 -0.42% 9.52 9.52 9.47
Aug 11, 2022 9.37 -0.01 -0.11% 9.38 9.39 9.37
Aug 10, 2022 9.37 0.00 0.00% 9.37 9.38 9.37
Jul 15, 2022 9.07 0.00 0.00% 9.07 9.07 9.07
Jul 14, 2022 9.08 0.01 0.11% 9.07 9.08 9.07
Jul 1, 2022 10.04 0.00 0.00% 10.04 10.04 10.04
Jun 29, 2022 10.04 0.00 0.00% 10.04 10.04 10.04
Jun 27, 2022 10.04 0.00 0.00% 10.04 10.04 10.04
Jun 24, 2022 10.04 0.00 0.00% 10.04 10.04 10.04
Jun 21, 2022 10.04 0.00 0.00% 10.04 10.04 10.04
Jun 15, 2022 10.04 0.00 0.00% 10.04 10.04 10.04
Jun 14, 2022 10.05 0.01 0.10% 10.04 10.05 10.04

Distell Group Holdings Limited Events

Vrijeme (UTC) (UTC) Zemlja Događaj
Wednesday, August 23, 2023

Vrijeme (UTC) (UTC)

06:30

Zemlja

ZA

Događaj

Full Year 2023 Distell Group Holdings Ltd Earnings Release
Full Year 2023 Distell Group Holdings Ltd Earnings Release

Forecast

-

Previous

-
Pogledajte sve događaje
  • Godišnje
  • Tromjesečno
2022 2021 2020 2019 2018
Ukupni prihod 34133.6 28254.5 22370.2 26179.6 24230.8
Prihod 34133.6 28254.5 22370.2 26179.6 24230.8
Cijena prihoda, ukupno 25050 20430.8 16065.7 18090 16442.2
Bruto profit 9083.57 7823.75 6304.5 8089.57 7788.57
Ukupni operativnu trošak 30715 25412 21389.3 24453.3 21842.6
Prodaja/ Općenito/ Troškovi administratora, Ukupno 5424.5 4919.2 4638.77 5297.99 5221.77
Depreciation / Amortization 368.078 319.308 364.857 192.36 172.106
Neuobičajeni trošak (prihod) -133.395 -246.623 319.962 865.412 12.615
Operativni prihod 3418.52 2842.54 980.908 1726.27 2388.17
Prihod od kamata (Trošak), neto neoperativno 50.952 -170.772 -281.279 -205.188 -257.552
Neto prihod prije poreza 3467.56 2671.77 699.629 1521.09 2130.62
Neto prihod nakon poreza 2436.66 2002.49 394.62 883.629 1498.52
Manjinski udjel -59.54 -66.649 -82.32 -13.201 -21.667
Neto prihod prije dodataka, stavke 2377.12 1935.84 312.3 870.428 1476.85
Neto prihod 2377.12 1935.84 312.3 870.428 1646.38
Prihod dostupan svima, osim dodatni stavki 2377.12 1935.84 312.3 870.428 1476.85
Prihod dostupan svima, uključujući dodatne stavke 2377.12 1935.84 312.3 870.428 1646.38
Razrijeđeni neto prihod 2377.12 1935.84 312.3 870.428 1646.38
Razrijeđene ponderirane prosječne dionice 221.118 220.543 219.642 219.543 219.658
Razrijeđeni EPS bez izvanrednih stavki 10.7505 8.77761 1.42186 3.96473 6.72342
Dividends per Share - Common Stock Primary Issue 0 1.74 4.23 3.95
Razrijeđeni normalizirani EPS 10.3265 7.93948 2.24352 6.25464 6.76381
Trošak kamata (prihod) - neto operativni 0 -10.677 0 -6.096
Ukupno izvanrednih stavki 169.531
Other Operating Expenses, Total 5.865 7.537 0.001
Ostalo, neto -1.91
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Ukupni prihod 20630 16333 17800.5 12880.8 15373.7
Prihod 20630 16333 17800.5 12880.8 15373.7
Cijena prihoda, ukupno 15286.7 12348.5 12701.5 9470.94 10959.9
Bruto profit 5343.29 3984.58 5098.99 3409.89 4413.85
Ukupni operativnu trošak 18373 15185.2 15529.8 12128.1 13283.9
Prodaja/ Općenito/ Troškovi administratora, Ukupno 3071.33 2889.08 2894.82 2752.67 2425.95
Neuobičajeni trošak (prihod) -13.998 7.594 8.327 81.492 -19.459
Other Operating Expenses, Total 28.898 -59.923 -74.847 -176.996 -82.449
Operativni prihod 2257.06 1147.82 2270.69 752.726 2089.81
Prihod od kamata (Trošak), neto neoperativno 56.62 46.535 2.507 -88.922 -81.85
Neto prihod prije poreza 2313.68 1194.36 2273.2 663.804 2007.96
Neto prihod nakon poreza 1621.02 806.877 1629.79 562.177 1440.31
Manjinski udjel -15.678 -27.303 -32.237 -30.52 -36.129
Neto prihod prije dodataka, stavke 1605.34 779.574 1597.55 531.657 1404.18
Neto prihod 1605.34 779.574 1597.55 531.657 1404.18
Prihod dostupan svima, osim dodatni stavki 1605.34 779.574 1597.55 531.657 1404.18
Prihod dostupan svima, uključujući dodatne stavke 1605.34 779.574 1597.55 531.657 1404.18
Razrijeđeni neto prihod 1605.34 779.574 1597.55 531.657 1404.18
Razrijeđene ponderirane prosječne dionice 221.144 221.178 221.058 221.029 220.057
Razrijeđeni EPS bez izvanrednih stavki 7.25927 3.52465 7.22684 2.40537 6.381
Dividends per Share - Common Stock Primary Issue 0 0 0 0
Razrijeđeni normalizirani EPS 7.21492 3.54784 7.25384 2.64404 6.12378
  • Godišnje
  • Tromjesečno
2022 2021 2020 2019 2018
Ukupna trenutna sredstva 17221.4 14523 13267.6 13136.2 12037.2
Gotovina i kratkotrajne investicije 3374.18 2471.14 1734.06 1153.1 1084.21
Gotovina i ekvivalenti 3374.18 2471.14 1169.06 1153.1 1084.21
Ukupna primanja, neto 4490.59 3271.51 2848.32 3545.47 3448.79
Accounts Receivable - Trade, Net 4012.77 2718.3 2456.05 3400.49 3413.04
Total Inventory 9186.25 8588.2 8436.47 8224 7504.15
Prepaid Expenses 170.38 192.183 248.772 213.59
Total Assets 29389.6 25751.4 25271.8 23607.5 22197
Property/Plant/Equipment, Total - Net 8841.95 8103.12 8392.1 7196.09 6443.88
Property/Plant/Equipment, Total - Gross 13811.5 12655.6 12662.4 10936.9
Accumulated Depreciation, Total -4969.56 -4552.5 -4270.29 -3740.76
Goodwill, Net 1116.35 1121.31 1208.13 1023.39
Intangibles, Net 965.265 961.449 1059.43 928.601 2008.47
Long Term Investments 770.447 594.805 565.025 688.22 1064.01
Note Receivable - Long Term 0 20.391
Other Long Term Assets, Total 474.198 447.665 779.541 635.03 623.039
Total Current Liabilities 9426.66 8833.71 6930.42 5976.9 4637.6
Accounts Payable 4098.45 3310.64 1867.23 2855.5
Accrued Expenses 3720.97 2692.16 2330.35 2450.66
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 1163.19 2611.63 2478.6 522.288 113.788
Other Current Liabilities, Total 444.059 219.278 254.24 148.451 206.743
Total Liabilities 13718.2 12664.4 13688.9 12034.9 10571.6
Total Long Term Debt 3610.48 2077.1 5122.47 4523.67 4432.84
Long Term Debt 3427.32 1907.16 4892.36 4523.67 4432.84
Capital Lease Obligations 183.162 169.939 230.109 0
Deferred Income Tax 1276.85 1274.91 1196.47 1149.36 1158.4
Minority Interest 485.961 454.062 409.134 357.464 314.944
Other Liabilities, Total -1081.77 24.615 30.414 27.547 27.8
Total Equity 15671.4 13087 11582.9 11572.5 11625.4
Common Stock 27844.6 27844.6 27844.6 27846.7
Additional Paid-In Capital 0 0 0
Retained Earnings (Accumulated Deficit) -13727.7 -16076.8 -18113.7 -16221.3
Treasury Stock - Common 0 -0.004 -0.001
Unrealized Gain (Loss) 29.624 29.936 41.108
Other Equity, Total 1524.98 1289.24 1810.94 11572.5
Total Liabilities & Shareholders’ Equity 29389.6 25751.4 25271.8 23607.5 22197
Total Common Shares Outstanding 220.103 220.026 219.675 219.568 219.496
Payable/Accrued 4317.07
Kratkoročne investicije 0 565
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Ukupna trenutna sredstva 19929.6 17221.4 19641.3 14523 16273.7
Gotovina i kratkotrajne investicije 3210.08 3374.18 5128.21 2471.14 3187.31
Gotovina i ekvivalenti 3210.08 3374.18 2888.21 2471.14 1942.31
Ukupna primanja, neto 7156.73 4660.97 5997.27 3463.7 4821.23
Accounts Receivable - Trade, Net 7104.57 4608.96 5944.33 3290.48 4759.81
Total Inventory 9562.75 9186.25 8515.86 8588.2 8265.17
Total Assets 32514.2 29389.6 31561.8 25751.4 27907
Property/Plant/Equipment, Total - Net 9217.7 8841.95 8474.52 8103.12 8028.29
Intangibles, Net 2097.19 2081.61 2240.9 2082.76 2070.39
Long Term Investments 837.796 770.447 722.321 594.805 611.092
Other Long Term Assets, Total 431.987 474.198 482.759 447.665 923.503
Total Current Liabilities 11171.9 9426.66 12323.4 8833.71 8522.44
Payable/Accrued 9261.61 7458.32 8259.25 5768.29 7273.06
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 1262.77 1163.19 3523.72 2611.63 927.292
Other Current Liabilities, Total 647.476 314.215 540.43 453.792 322.09
Total Liabilities 15297.2 13718.2 16432.5 12664.4 15314.1
Total Long Term Debt 2267.13 2501.61 2129.24 2077.1 4991
Long Term Debt 2267.13 2501.61 2129.24 2077.1 4991
Deferred Income Tax 1332.7 1276.85 1470.38 1274.91 1324.61
Minority Interest 497.071 485.961 482.029 454.062 441.763
Other Liabilities, Total 28.485 27.095 27.444 24.615 34.285
Total Equity 17217 15671.4 15129.3 13087 12592.9
Other Equity, Total 17217 15129.3 13087 12592.9
Total Liabilities & Shareholders’ Equity 32514.2 29389.6 31561.8 25751.4 27907
Total Common Shares Outstanding 222.755 220.103 223.102 220.026 222.622
Kratkoročne investicije 0 2240 0 1245
Note Receivable - Long Term
Accrued Expenses 490.939
Common Stock 27844.6
Retained Earnings (Accumulated Deficit) -12173.1
  • Godišnje
  • Tromjesečno
2022 2021 2020 2019 2018
Neto prihod/ početna linija 3418.52 2842.54 980.908 1726.27 2559.33
Gotovina iz operativnih aktivnosti 3447.57 4079.77 1041.78 2138.56 2266.65
Gotovina iz operativnih aktivnosti 731.937 702.026 579.876 432.434
Amortization 80.708 106.557 81.46 61.806
Nenovčane stavke 1230.82 145.042 381.064 1121.49 198.915
Cash Taxes Paid 704.871 602.635 413.035 633.935 580.575
Plaćene kamate u gotovini 284.895 368.606 460.334 339.942 285.519
Promjene u radnom kapitalu -1201.77 279.543 -1128.78 -1370.54 -985.831
Gotovina od investicijskih aktivnosti -1438.68 113.349 -1999.88 -1728.44 -1144.64
Kapitalni rashodi -1656.72 -951.29 -1479.55 -1424.26 -1241.4
Druge stavke investicijskog toka novca, ukupno 218.037 1064.64 -520.332 -304.18 96.76
Gotovina iz financijskih aktivnosti -1093.51 -498.848 -908.266 -759.412 -458.256
Total Cash Dividends Paid 0 -929.46 -887.711 -832.778
Izdavanje (povlačenje) dionica, neto 0.001 0.005
Izdavanje (povlačenje) duga, neto -1086.74 -494.437 30.003 96.727 424.053
Devizni učinci -12.33 -42.192 54.606 9.672 3.788
Neto promjena u gotovini 903.046 3652.08 -1811.76 -339.611 667.551
Stavke novčanog toka financiranja -6.768 -4.416 -8.809 31.572 -49.531
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Net income/Starting Line 2257.06 3418.52 2270.69 2842.54 2089.81
Cash From Operating Activities 762.998 3447.57 2403.97 4079.77 3290.48
Non-Cash Items 490.505 1230.82 894.26 957.687 394.68
Cash Taxes Paid 430.24 704.871 299.675 602.635 239.299
Cash Interest Paid 49.119 284.895 94.872 368.606 158.593
Changes in Working Capital -1984.56 -1201.77 -760.985 279.543 805.981
Cash From Investing Activities -718.981 -1438.68 -2806.54 113.349 -867.14
Capital Expenditures -774.481 -1656.72 -721.401 -951.29 -448.919
Other Investing Cash Flow Items, Total 55.5 218.037 -2085.14 1064.64 -418.221
Cash From Financing Activities -258.382 -1093.51 -0.513 -498.848 -65.672
Financing Cash Flow Items -3.408 -6.768 -4 -4.416 -3.5
Total Cash Dividends Paid 0
Issuance (Retirement) of Debt, Net -254.974 -1086.74 3.486 -494.437 -62.175
Foreign Exchange Effects 50.265 -12.33 14.25 -42.192 -34.413
Net Change in Cash -164.1 903.046 -388.842 3652.08 2323.25
Issuance (Retirement) of Stock, Net 0.001 0.001 0.005 0.003

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Izračunajte svoj hipotetski PiG ako ste CFD trgovanje otvorili na određen datum (odaberite datum) i zatvorili na drugi datum (odaberite datum).

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Otvaranje

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Kratko Dugo
Industry: Distillers & Wineries (NEC)

Aan-de-Wagenweg
STELLENBOSCH
WESTERN CAPE 7600
ZA

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XRP/USD

0.50 Price
+2.290% 1D Chg, %
Noćna naknada za dugu poziciju -0.0753%
Noćna naknada za kratku poziciju 0.0069%
Vrijeme noćne naknade 21:00 (UTC)
Spread 0.00321

BTC/USD

27,833.80 Price
+0.490% 1D Chg, %
Noćna naknada za dugu poziciju -0.0616%
Noćna naknada za kratku poziciju 0.0137%
Vrijeme noćne naknade 21:00 (UTC)
Spread 60.00

Oil - Crude

70.12 Price
-4.040% 1D Chg, %
Noćna naknada za dugu poziciju -0.0146%
Noćna naknada za kratku poziciju -0.0073%
Vrijeme noćne naknade 21:00 (UTC)
Spread 0.03

Gold

1,956.41 Price
+0.670% 1D Chg, %
Noćna naknada za dugu poziciju -0.0183%
Noćna naknada za kratku poziciju 0.0101%
Vrijeme noćne naknade 21:00 (UTC)
Spread 0.30

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