CFD merupakan instrumen yang rumit dan memiliki risiko tinggi kehilangan uang secara cepat karena adanya pengaruh leverage. 84% akun investor ritel mengalami kerugian saat melakukan kegiatan perdagangan CFD dengan penyedia ini. Anda harus mempertimbangkan apakah Anda memahami cara kerja CFD dan apakah Anda mampu menerima risiko tinggi kehilangan uang.

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Perdagangan Tritax Big Box REIT PLC - BBOX CFD

1.312
2.16%
0.028
Rendah: 1.305
Tinggi: 1.325
Market Trading Hours* (UTC) Opens on Monday at 08:00

Mon - Fri: 08:00 - 16:30

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.028
Biaya inap posisi Long

Long position overnight fee


Margin. Your investment $1,000.00
Biaya Overnight -0.021808 %
Charges from borrowed part ($-0.87)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Kunjungi platform
-0.021808%
Biaya inap posisi short

Short position overnight fee


Margin. Your investment $1,000.00
Biaya Overnight -0.00011 %
Charges from borrowed part ($-0.00)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Kunjungi platform
-0.00011%
Waktu biaya inap 21:00 (UTC)
Kuantitas min. yang diperdagangkan 1
Mata uang GBP
Margin 20%
Bursa efek United Kingdom of Great Britain and Northern Ireland
Komisi perdagangan 0%

*Information provided by Capital.com

Tritax Big Box Reit PLC ESG Risk Ratings

High Medium Low Negligible

‘D’ score indicates poor relative ESG performance and insufficient degree of transparency in reporting material ESG data publicly.

Key Stats
Prev. Close* 1.341
Open* 1.324
1-Year Change* -43.71%
Day's Range* 1.305 - 1.325
52 wk Range 1.20-2.51
Average Volume (10 days) 6.26M
Average Volume (3 months) 109.91M
Market Cap 2.53B
P/E Ratio -100.00K
Shares Outstanding 1.87B
Revenue 206.00M
EPS -0.27
Dividend (Yield %) 5.16605
Beta 1.01
Next Earnings Date Aug 2, 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
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Mar 23, 2023 1.341 0.019 1.44% 1.322 1.350 1.322
Mar 22, 2023 1.332 -0.012 -0.89% 1.344 1.354 1.308
Mar 21, 2023 1.355 -0.003 -0.22% 1.358 1.368 1.341
Mar 20, 2023 1.358 0.026 1.95% 1.332 1.367 1.309
Mar 17, 2023 1.348 -0.012 -0.88% 1.360 1.374 1.327
Mar 16, 2023 1.360 -0.016 -1.16% 1.376 1.385 1.337
Mar 15, 2023 1.367 0.003 0.22% 1.364 1.383 1.342
Mar 14, 2023 1.368 0.017 1.26% 1.351 1.397 1.351
Mar 13, 2023 1.356 -0.006 -0.44% 1.362 1.371 1.320
Mar 10, 2023 1.356 0.009 0.67% 1.347 1.357 1.318
Mar 9, 2023 1.369 -0.044 -3.11% 1.413 1.413 1.349
Mar 8, 2023 1.414 -0.040 -2.75% 1.454 1.454 1.398
Mar 7, 2023 1.454 -0.033 -2.22% 1.487 1.508 1.451
Mar 6, 2023 1.487 0.031 2.13% 1.456 1.488 1.450
Mar 3, 2023 1.457 0.004 0.28% 1.453 1.478 1.452
Mar 2, 2023 1.467 0.019 1.31% 1.448 1.480 1.447
Mar 1, 2023 1.457 -0.025 -1.69% 1.482 1.484 1.451
Feb 28, 2023 1.482 0.011 0.75% 1.471 1.495 1.470
Feb 27, 2023 1.488 0.011 0.74% 1.477 1.496 1.475
Feb 24, 2023 1.487 -0.007 -0.47% 1.494 1.511 1.482

Tritax Big Box REIT PLC Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total revenue 184.6 161.5 144.3 132.78 107.94
Revenue 184.6 161.5 144.3 132.78 107.94
Total Operating Expense -827.9 -330.9 -36.6 -143.96 -157.07
Selling/General/Admin. Expenses, Total 31 28.5 25 18.07 14.16
Interest Expense (Income) - Net Operating -842.9 -351.2 -54.5 -162.98 -175.98
Operating Income 1012.5 492.4 180.9 276.74 265.01
Interest Income (Expense), Net Non-Operating -37.2 -40 -39.2 -24.17 -17.21
Net Income Before Taxes 971.1 449.5 141.2 252.57 247.8
Net Income After Taxes 972.6 449.4 141.2 252.57 247.8
Net Income Before Extra. Items 972.6 449.4 141.2 252.57 247.8
Net Income 972.6 449.4 141.2 252.57 247.8
Income Available to Common Excl. Extra. Items 972.6 449.4 141.2 252.57 247.8
Income Available to Common Incl. Extra. Items 972.6 449.4 141.2 252.57 247.8
Dilution Adjustment 0 0
Diluted Net Income 972.6 449.4 141.2 252.57 247.8
Diluted Weighted Average Shares 1769.07 1708.5 1690.05 1451.42 1279.19
Diluted EPS Excluding Extraordinary Items 0.54978 0.26304 0.08355 0.17402 0.19372
Dividends per Share - Common Stock Primary Issue 0.0536 0.05463 0.05823 0.05484 0.0508
Diluted Normalized EPS 0.55084 0.26327 0.08177 0.17467 0.19743
Unusual Expense (Income) 2.9 0.4 -3 0.95 4.75
Other Operating Expenses, Total -18.9 -8.6 -4.1
Other, Net -4.2 -2.9 -0.5
Dec 2021 Jun 2021 Dec 2020 Jun 2020 Dec 2019
Total revenue 97.2 87.4 82.7 78.8 75.1
Revenue 97.2 87.4 82.7 78.8 75.1
Total Operating Expense -518.6 -309.3 -285.9 -45 -18.2
Selling/General/Admin. Expenses, Total 17.3 13.7 15.4 13.1 13.1
Interest Expense (Income) - Net Operating -528.6 -314.3 -295.9 -55.3 -28.7
Unusual Expense (Income) 2.7 0.2 0.2 0.2 -0.5
Other Operating Expenses, Total -10 -8.9 -5.6 -3 -2.1
Operating Income 615.8 396.7 368.6 123.8 93.3
Interest Income (Expense), Net Non-Operating -18 -19.2 -19.2 -20.8 -18.9
Other, Net -2.7 -1.5 -3.1 0.2 -1
Net Income Before Taxes 595.1 376 346.3 103.2 73.4
Net Income After Taxes 595 377.6 346.2 103.2 73.6
Net Income Before Extra. Items 595 377.6 346.2 103.2 73.6
Net Income 595 377.6 346.2 103.2 73.6
Income Available to Common Excl. Extra. Items 595 377.6 346.2 103.2 73.6
Income Available to Common Incl. Extra. Items 595 377.6 346.2 103.2 73.6
Dilution Adjustment 0 0
Diluted Net Income 595 377.6 346.2 103.2 73.6
Diluted Weighted Average Shares 1816.53 1721.61 1710.03 1719.7 1723.73
Diluted EPS Excluding Extraordinary Items 0.32755 0.21933 0.20245 0.06001 0.0427
Dividends per Share - Common Stock Primary Issue 0.028 0.0256 0.02963 0.025 0.03083
Diluted Normalized EPS 0.32903 0.2194 0.20257 0.06013 0.04251
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total Current Assets 108.2 82.9 47.1 90.56 88.27
Cash and Short Term Investments 70.9 57.6 21.2 47.37 71.91
Cash & Equivalents 70.9 57.6 21.2 47.37 71.91
Total Receivables, Net 11.4 23.4 22.4 38.26 9.31
Accounts Receivable - Trade, Net 7.1 21.8 7 5.27
Prepaid Expenses 25.7 1.7 3.3 3.97 0.92
Other Current Assets, Total 0.2 0.2 0.2 0.96 6.13
Total Assets 5593.9 4406.5 3861.9 3134.07 2689.45
Long Term Investments 5476.2 4310.1 3797.3 3038.31 2599.21
Other Long Term Assets, Total 1.8 0.1 1.3 5.2 1.97
Total Current Liabilities 128.8 107.3 130.1 72.73 51.06
Payable/Accrued
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 42.9 38 54 30.29 28.13
Total Liabilities 1517.4 1485.2 1300.7 893.18 759.99
Total Long Term Debt 1345.2 1343.1 1147.7 820.45 708.93
Long Term Debt 1345.2 1343.1 1147.7 820.45 708.93
Total Equity 4076.5 2921.3 2561.2 2240.89 1929.46
Common Stock 18.7 17.2 17.1 14.74 13.64
Additional Paid-In Capital 762 466.5 446.7 153.63 932.37
Retained Earnings (Accumulated Deficit) 2331.3 1358.7 909.3 768.09 515.52
Other Equity, Total 964.5 1078.9 1188.1 1304.43 467.93
Total Liabilities & Shareholders’ Equity 5593.9 4406.5 3861.9 3134.07 2689.45
Total Common Shares Outstanding 1867.78 1719.14 1706.97 1485.91 1374.4
Accounts Payable 66.6 52.7 62.6 32.57 16.81
Accrued Expenses 19.3 16.6 13.5 9.87 6.12
Property/Plant/Equipment, Total - Net 4 9.4 13.9
Intangibles, Net 1.7 2 2.3
Other Liabilities, Total 43.4 34.8 22.9
Note Receivable - Long Term 2 2
Dec 2021 Jun 2021 Dec 2020 Jun 2020 Dec 2019
Total Current Assets 108.2 53.1 82.9 62.5 47.1
Cash and Short Term Investments 70.9 30.1 57.6 35.1 21.2
Cash & Equivalents 70.9 30.1 57.6 35.1 21.2
Total Receivables, Net 11.4 9.1 23.4 20.8 25.7
Accounts Receivable - Trade, Net 7.1 21.8 25.7
Other Current Assets, Total 0.2 0.2 0.2 0.2 0.2
Total Assets 5593.9 4920.6 4406.5 4020.2 3861.9
Property/Plant/Equipment, Total - Net 4 6.2 9.4 13.9 13.9
Intangibles, Net 1.7 1.9 2 2.2 2.3
Long Term Investments 5476.2 4857 4310.1 3941.2 3797.3
Other Long Term Assets, Total 1.8 0.4 0.1 0.4 1.3
Total Current Liabilities 128.8 150.2 107.3 104.8 130.1
Payable/Accrued 85.9 112.1 69.3 69.4 76.1
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 42.9 38.1 38 35.4 54
Total Liabilities 1517.4 1677.5 1485.2 1411.7 1300.7
Total Long Term Debt 1345.2 1489.9 1343.1 1281.1 1147.7
Long Term Debt 1345.2 1489.9 1343.1 1281.1 1147.7
Other Liabilities, Total 43.4 37.4 34.8 25.8 22.9
Total Equity 4076.5 3243.1 2921.3 2608.5 2561.2
Common Stock 18.7 17.2 17.2 17.1 17.1
Additional Paid-In Capital 762 467.7 466.5 446.7 446.7
Retained Earnings (Accumulated Deficit) 2331.3 1736.3 1358.7 1012.5 909.3
Other Equity, Total 964.5 1021.9 1078.9 1132.2 1188.1
Total Liabilities & Shareholders’ Equity 5593.9 4920.6 4406.5 4020.2 3861.9
Total Common Shares Outstanding 1867.78 1719.88 1719.14 1706.97 1706.97
Prepaid Expenses 25.7 13.7 1.7 6.4
Deferred Income Tax 0
Note Receivable - Long Term 2 2 2
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Net income/Starting Line 972.6 449.4 141.2 252.57 247.8
Cash From Operating Activities 196.1 137.6 93.3 93.95 86.78
Non-Cash Items -801.8 -311.2 -24.8 -149.94 -166.54
Cash Taxes Paid -4 16.8 22.6 0.4 0.28
Cash Interest Paid 37.5 35.5 28.2 21.76 14.21
Changes in Working Capital 19.9 -5.1 -23.1 -8.68 5.52
Cash From Investing Activities -327.3 -150.2 -474.6 -261.29 -602.17
Other Investing Cash Flow Items, Total -327.3 -150.2 -474.6 -261.29 -602.17
Cash From Financing Activities 144.5 49 355.2 142.8 422.25
Financing Cash Flow Items -44 -37.6 -40.5 -30.06 -28.72
Total Cash Dividends Paid -114.3 -109.6 -115.5 -95.5 -77.31
Issuance (Retirement) of Stock, Net 302.8 0 249.9 157.36 351.4
Issuance (Retirement) of Debt, Net 0 196.2 261.3 111 176.88
Net Change in Cash 13.3 36.4 -26.1 -24.54 -93.14
Cash From Operating Activities 5.4 4.5
Dec 2021 Jun 2021 Dec 2020 Jun 2020 Dec 2019
Net income/Starting Line 972.6 377.6 449.4 103.2 141.2
Cash From Operating Activities 196.1 98.5 137.6 53.8 93.3
Non-Cash Items -801.8 -297 -311.2 -37.2 -24.8
Cash Taxes Paid -4 -4 16.8 16.8 22.6
Cash Interest Paid 37.5 18.8 35.5 17.3 28.2
Changes in Working Capital 19.9 14.7 -5.1 -12.2 -23.1
Cash From Investing Activities -327.3 -197 -150.2 -98.5 -474.6
Other Investing Cash Flow Items, Total -327.3 -197 -150.2 -98.5 -474.6
Cash From Financing Activities 144.5 71 49 58.6 355.2
Financing Cash Flow Items -44 -19.4 -37.6 -17.6 -40.5
Total Cash Dividends Paid -114.3 -56.9 -109.6 -56.3 -115.5
Issuance (Retirement) of Stock, Net 302.8 1.3 0 0 249.9
Issuance (Retirement) of Debt, Net 0 146 196.2 132.5 261.3
Net Change in Cash 13.3 -27.5 36.4 13.9 -26.1
Cash From Operating Activities 5.4 3.2 4.5

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Industry: Industrial REITs

3rd Floor
6 Duke Street St James's
LONDON
SW1Y 6BN
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