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Perdagangan Impulsora del Desarrollo y el Empleo en América Latina, S.A.B. de C.V. - IPSBF CFD

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  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread -
Biaya inap posisi Long

Long position overnight fee


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

Kunjungi platform
-0.025457%
Biaya inap posisi short

Short position overnight fee


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

Kunjungi platform
0.003235%
Waktu biaya inap 21:00 (UTC)
Kuantitas min. yang diperdagangkan 1
Mata uang USD
Margin 20%
Bursa efek United States of America
Komisi perdagangan 0%

*Information provided by Capital.com

Impulsora del Desarrollo y el Empleo en America Latina SAB de CV 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.

Key Stats
Prev. Close* N/A
Open* N/A
1-Year Change* N/A
Day's Range* N/A
52 wk Range 37.00-40.00
Average Volume (10 days) N/A
Average Volume (3 months) 36.04K
Market Cap 106.04B
P/E Ratio 8.83
Shares Outstanding 2.86B
Revenue 26.21B
EPS 4.19
Dividend (Yield %) 2.43243
Beta -100.00K
Next Earnings Date Jul 26, 2023

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
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Date Close Change Change (%) Open High Low

Impulsora del Desarrollo y el Empleo en América Latina, S.A.B. de C.V. Events

Time (UTC) Country Event
Wednesday, July 26, 2023

Time (UTC)

10:59

Country

MX

Event

Q2 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings Release
Q2 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings Release

Forecast

-

Previous

-
Thursday, October 26, 2023

Time (UTC)

10:59

Country

MX

Event

Q3 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings Release
Q3 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings Release

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 25357 20969.7 13656.6 15812.1 13953.4
Revenue 25357 20969.7 13656.6 15812.1 13953.4
Cost of Revenue, Total 566.28 4970.17 2349.74 2037.53 1313.07
Gross Profit 24790.7 15999.5 11306.9 13774.6 12640.4
Total Operating Expense 13015.1 10950.9 7364.7 8330.59 6653.64
Selling/General/Admin. Expenses, Total 12389.8
Depreciation / Amortization 1511.94 1763.54 1944.86 1840.85
Unusual Expense (Income) 2.566 0.036 -4.045 444.89
Other Operating Expenses, Total 59.065 4466.21 3251.38 4352.24 3054.84
Operating Income 12341.9 10018.8 6291.91 7481.49 7299.79
Interest Income (Expense), Net Non-Operating 2247.84 3483.72 -11668 -4254.59 1739.78
Net Income Before Taxes 16285.5 13502.5 -5376.12 3226.9 9039.57
Net Income After Taxes 12627.4 10951.7 -4277.73 2824.26 6660.76
Minority Interest -4434.35 -3793.14 1533.13 -1124.31 -1401.63
Net Income Before Extra. Items 8193.02 7158.58 -2744.6 1699.95 5259.13
Net Income 8193.02 7158.58 -2382.01 -576.772 4578
Income Available to Common Excl. Extra. Items 8193.02 7158.58 -2744.6 1699.95 5259.13
Income Available to Common Incl. Extra. Items 8193.02 7158.58 -2382.01 -576.772 4578
Diluted Net Income 8193.02 7158.58 -2382.01 -576.772 4578
Diluted Weighted Average Shares 1853.63 2859.18 2862.58 2867.49 2887.18
Diluted EPS Excluding Extraordinary Items 4.42 2.50372 -0.95879 0.59284 1.82155
Diluted Normalized EPS 4.42 2.50445 -0.95878 0.5916 1.93509
Total Extraordinary Items 0 362.59 -2276.72 -681.129
Dividends per Share - Common Stock Primary Issue 1 1.25 1.58996
Other, Net 1695.75
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Total revenue 6510.85 6933.44 6212.15 6552.46 5658.92
Revenue 6510.85 6933.44 6212.15 6552.46 5658.92
Cost of Revenue, Total 163.707 0 197.667 229.78 138.832
Gross Profit 6347.15 6933.44 6014.49 6322.68 5520.09
Total Operating Expense 2951.82 3621.62 2914.75 3770.4 2708.34
Selling/General/Admin. Expenses, Total 2912.21 3587.55 2825.75 3424.8 2551.65
Other Operating Expenses, Total -124.087 34.071 -108.672 115.812 17.853
Operating Income 3559.03 3311.83 3297.41 2782.06 2950.58
Interest Income (Expense), Net Non-Operating 22.801 -185.305 821.739 1715.76 1380.99
Other, Net -77.98 369.551 -55.958 -59.438 -43.759
Net Income Before Taxes 3503.85 3496.07 4063.19 4438.38 4287.81
Net Income After Taxes 2968.91 2767.61 3115 3117.05 3627.7
Minority Interest -1275.89 -1114.25 -1170.72 -1097.06 -1052.31
Net Income Before Extra. Items 1693.02 1653.36 1944.28 2019.99 2575.39
Total Extraordinary Items 0 0 0 0
Net Income 1693.02 1653.36 1944.28 2019.99 2575.39
Income Available to Common Excl. Extra. Items 1693.02 1653.36 1944.28 2019.99 2575.39
Income Available to Common Incl. Extra. Items 1693.02 1653.36 1944.28 2019.99 2575.39
Diluted Net Income 1693.02 1653.36 1944.28 2019.99 2575.39
Diluted Weighted Average Shares 1627.9 1704.5 1783.75 1853.2 2027.86
Diluted EPS Excluding Extraordinary Items 1.04 0.97 1.09 1.09 1.27
Dividends per Share - Common Stock Primary Issue 0 1 0 0 0
Diluted Normalized EPS 1.04 0.97 1.09 1.09 1.27
Depreciation / Amortization
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total Current Assets 17005.7 15762.1 17300.9 54573.8 23842.6
Cash and Short Term Investments 9959.96 4286.28 7555.24 11015.1 9655.74
Cash 1617.98 2891.15 2198.02 1020.17
Cash & Equivalents 8953.04 2668.31 4664.08 919.219 1397.71
Total Receivables, Net 6925.07 5997.09 6338.07 6509.93 6904.47
Accounts Receivable - Trade, Net 6455.31 2332.98 2581.73 3409.18 4221.47
Other Current Assets, Total 5382.61 3291.8 36957.8 7282.41
Total Assets 123391 110463 110561 138587 132831
Property/Plant/Equipment, Total - Net 952.627 973.306 1013.85 920.439 12548.9
Property/Plant/Equipment, Total - Gross 1475.07 1586.25 1445.84 16109.4
Accumulated Depreciation, Total -501.767 -572.4 -525.398 -3560.48
Goodwill, Net 551.313 580.132 580.132 580.132 2063.65
Intangibles, Net 77789.3 72335.6 68383 66440.2 80694.4
Long Term Investments 4563.03 4.161
Note Receivable - Long Term 14963.8 12387.7 8856.24 6083.42 3138.62
Other Long Term Assets, Total 7564.96 8419.67 14426.8 9988.86 10542.6
Total Current Liabilities 14309.6 12329.5 15579.3 49090.5 17836.2
Accounts Payable 2968.06 2623.59 3326.17 155.072
Accrued Expenses 11.48 13.566 14.794 14.895
Notes Payable/Short Term Debt 0 0 0 0
Current Port. of LT Debt/Capital Leases 6851.86 5268.29 8452.02 20253.7 12949.2
Other Current Liabilities, Total 943.248 4081.7 4490.1 25495.9 4717.1
Total Liabilities 77818.7 71824.4 77107 106975 100033
Total Long Term Debt 43166.6 40142.5 33391.8 43666.7 73252.6
Long Term Debt 43149.2 40101.8 33331.1 43576.1 73252.6
Deferred Income Tax 3497.28 262.268 423.98 1998.14 3275.18
Minority Interest 14498.9 13826.5 12204.1 4373.36 3577.28
Other Liabilities, Total 2346.44 5263.54 15507.9 7846.1 2091.58
Total Equity 45571.9 38638.2 33453.8 31612.1 32797.9
Common Stock 8222.19 8222.19 8222.19 8607 8607
Retained Earnings (Accumulated Deficit) 22914.1 7583.28 3784.36 20461.9 23229.4
Other Equity, Total 14455.7 22832.7 21447.3 2543.17 961.517
Total Liabilities & Shareholders’ Equity 123391 110463 110561 138587 132831
Total Common Shares Outstanding 2859.03 2859.05 2859.42 2866.02 2872.45
Short Term Investments 1006.92 0 7897.85 7237.85
Total Inventory 120.632 96.108 115.745 91.04
Prepaid Expenses
Treasury Stock - Common -20.057
Capital Lease Obligations 17.405 40.736 60.751 90.557
Payable/Accrued 6514.5
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Total Current Assets 18225.8 17005.7 18077.4 17384.4 16404.3
Cash and Short Term Investments 10965.6 9959.96 10323.1 9984.72 9529.47
Cash 663.452 407.721 1489.86 1765.6
Cash & Equivalents 9295.22 8953.04 8908.43 7487.89 6756.91
Short Term Investments 1006.92 1006.92 1006.97 1006.97 1006.97
Total Receivables, Net 6945.73 6925.07 7324.61 7189.77 6628.85
Accounts Receivable - Trade, Net 2094.25 6455.31 3633.95 3564.92 2983.39
Total Inventory 119.974 120.632 106.199 99.562 86.872
Prepaid Expenses 194.487 323.424 110.358 159.082
Total Assets 122989 123391 123291 119671 114790
Property/Plant/Equipment, Total - Net 937.685 952.627 949.912 952.058 961.301
Goodwill, Net 550.902 551.313 580.132 580.132 580.132
Intangibles, Net 79453.1 77789.3 76177.2 74952.3 73203.1
Long Term Investments 3493.83 4563.03 6134.9 5332.35 3022.6
Note Receivable - Long Term 15457.9 14963.8 14343.4 13399.1 12892.2
Other Long Term Assets, Total 4869.44 7564.96 7027.88 7070.32 7726.63
Total Current Liabilities 14852.1 14309.6 16478.2 16463.8 12448.4
Accounts Payable 2487.7 193.756 221.826 161.604
Accrued Expenses 1108.78 905.522 782.534 784.239
Notes Payable/Short Term Debt 0 0 0 0
Current Port. of LT Debt/Capital Leases 7712.65 6851.86 6562.4 6760.06 6019.09
Other Current Liabilities, Total 3542.96 943.248 8816.53 8699.42 5483.47
Total Liabilities 76332.7 77818.7 78762.3 77480.1 72829.1
Total Long Term Debt 43402.8 43166.6 41219.9 40485.1 39303.9
Long Term Debt 43391.7 43149.2 41197.9 40457.4 39270.6
Capital Lease Obligations 11.153 17.405 21.915 27.692 33.347
Deferred Income Tax 261.545 3497.28 3426.54 3179.14 2745.94
Minority Interest 15426.3 14498.9 15083.1 14649.8 14870.1
Other Liabilities, Total 2389.91 2346.44 2554.59 2702.32 3460.74
Total Equity 46656 45571.9 44528.5 42190.5 41961.2
Common Stock 8222.19 8222.19 8222.19 8222.19 8222.19
Retained Earnings (Accumulated Deficit) 26083.9 22914.1 22905.5 20961.2 21800.7
Treasury Stock - Common -20.367 -20.057 -20.034 -20.029 -19.998
Other Equity, Total 12370.3 14455.7 13420.8 13027.1 11958.3
Total Liabilities & Shareholders’ Equity 122989 123391 123291 119671 114790
Total Common Shares Outstanding 2858.92 2859.03 2859.04 2859.04 2859.05
Other Current Assets, Total
Property/Plant/Equipment, Total - Gross
Accumulated Depreciation, Total
Payable/Accrued 6514.5
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 12627.4 13502.5 -5376.12 3226.9 8326.7
Cash From Operating Activities 10943.3 9140.82 5494.42 4597.49 10963.2
Cash From Operating Activities 1562.99 80.668 81.641 83.334 436.836
Amortization 1431.28 1681.9 1861.53 1859.85
Non-Cash Items -525.495 1532.09 14534.8 8125.94 5215.22
Cash Taxes Paid 3112.07 3349.3 1861.22 2039.11 1974.89
Cash Interest Paid 4742.68 3321.65 12038.7 4268.7 5876.81
Changes in Working Capital -2721.54 -7405.75 -5427.79 -8700.22 -4875.43
Cash From Investing Activities -2807.24 -5543.22 12243.8 3184.05 -3115.26
Capital Expenditures -5832.84 -3888.86 -2676.69 -2415.16 -2443.29
Other Investing Cash Flow Items, Total 3025.6 -1654.36 14920.5 5599.2 -671.972
Cash From Financing Activities -7622.66 -6866.55 -21198.1 -6422.18 -209.978
Financing Cash Flow Items -5983.65 -6644.02 5460.93 -5210.11 -6904.92
Total Cash Dividends Paid -5787.54 -3573.81 -4556.85
Issuance (Retirement) of Debt, Net 4149.32 3365.93 -21857.8 -993.065 7872.17
Foreign Exchange Effects 0 -6.505
Net Change in Cash 513.43 -3268.95 -3459.85 1359.35 7631.43
Issuance (Retirement) of Stock, Net -0.778 -14.644 -244.384 -219.01 -1177.22
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 2968.91 12627.4 9859.76 6744.76 3627.7
Cash From Operating Activities 1962.59 10943.3 7176.72 3942.73 1651.43
Cash From Operating Activities 332.529 1562.99 1183.19 784.196 389.864
Non-Cash Items 514.447 -525.495 -996.56 -1116.53 -724.804
Cash Taxes Paid 1012.11 3112.07 2471.59 3223.01 1894.11
Cash Interest Paid 1115.56 4742.68 3416.86 1992.84 845.323
Changes in Working Capital -1853.3 -2721.54 -2869.67 -2469.69 -1641.33
Cash From Investing Activities -324.676 -2807.24 -2076.13 -1277.64 -258.051
Capital Expenditures -1449.74 -5832.84 -4178.89 -2849.77 -970.564
Other Investing Cash Flow Items, Total 1125.07 3025.6 2102.76 1572.13 712.513
Cash From Financing Activities -477.207 -7622.66 -4224.05 -2126.94 -1310.48
Financing Cash Flow Items -1475.71 -5983.65 -3891.73 -2273.8 -871.1
Total Cash Dividends Paid -154.312 -5787.54 -2115.56 -1481.24 -199.333
Issuance (Retirement) of Stock, Net -3.996 -0.778 -0.483 -0.417 0
Issuance (Retirement) of Debt, Net 1156.81 4149.32 1783.73 1628.51 -240.047
Foreign Exchange Effects
Net Change in Cash 1160.7 513.43 876.542 538.145 82.897
Investor Name Investor Type Percent Outstanding Shares Held Shares change Holdings Date Turnover Rating
CPP Investment Board Pension Fund 23.6881 678905000 0 2022-03-31 LOW

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Industry: Highway Operators

Paseo de las Palmas 781 , piso 1
Col. Lomas de Chapultepec III Sección
MIGUEL HIDALGO
MEXICO, D.F. 11000
MX

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