I CFD sono strumenti complessi e presentano un alto rischio di rapida perdita di denaro a causa della leva finanziaria. Il 84% degli account di investitori individuali perde denaro quando negozia CFD con questo fornitore. Dovresti valutare se comprendi il funzionamento dei CFD e se puoi permetterti di correre un rischio elevato di perdere denaro.

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Negozia Great Portland Estates PLC - GPORgb CFD

5.910
2.43%
0.050
Basso: 5.735
Alto: 5.965
Market Trading Hours* (UTC) Opens on Thursday at 08:00

Mon - Fri: 08:00 - 16:30

  • Riepilogo
  • Dati Storici
  • Eventi
  • Conto Economico
  • Stato Patrimoniale
  • Cash Flow
  • Titolarità
Condizioni di Trading
Spread 0.050
Commissione overnight su posizione lunga

Long position overnight fee


Margin. Your investment $1,000.00
Commissione notturna -0.028007 %
Charges from borrowed part ($-1.12)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Vai alla piattaforma
-0.028007%
Commissione overnight su posizione corta

Short position overnight fee


Margin. Your investment $1,000.00
Commissione notturna -0.015829 %
Charges from borrowed part ($-0.63)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Vai alla piattaforma
-0.015829%
Ora commissione overnight 22:00 (UTC)
Quantità negoziata min 1
Valuta GBP
Margine 20%
Borsa United Kingdom of Great Britain and Northern Ireland
Commissioni per il trading 0%

*Information provided by Capital.com

Great Portland Estates PLC 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

Statistiche Principali
Chiusura Preced.* 5.77
Apertura* 5.735
Variazione a 1 Anno* -21.55%
Range Giornaliero* 5.735 - 5.965
Range a 52 sett. 3.88-7.46
Volume Medio (10 giorni) 304.13K
Volume Medio (3 mesi) 11.39M
Capitalizzazione di Mercato 1.51B
Rapporto P/E 82.00
Azioni Circolanti 253.87M
Ricavi 85.50M
EPS 0.07
Dividendi (Rendimento %) 2.11587
Beta 0.95
Prossima Data per Utili May 23, 2023

Tutti i dati sono forniti da Refinitiv, ad eccezione dei dati contrassegnati da un asterisco, che sono *dati forniti da Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Chiusura Change Change (%) Apertura High Low
Feb 7, 2023 5.770 -0.015 -0.26% 5.785 5.845 5.700
Feb 6, 2023 5.825 -0.100 -1.69% 5.925 5.930 5.760
Feb 3, 2023 5.930 -0.010 -0.17% 5.940 5.985 5.880
Feb 2, 2023 5.935 0.280 4.95% 5.655 5.970 5.650
Feb 1, 2023 5.705 0.070 1.24% 5.635 5.735 5.605
Jan 31, 2023 5.685 -0.045 -0.79% 5.730 5.755 5.625
Jan 30, 2023 5.720 0.110 1.96% 5.610 5.730 5.590
Jan 27, 2023 5.690 0.170 3.08% 5.520 5.690 5.515
Jan 26, 2023 5.530 0.115 2.12% 5.415 5.570 5.415
Jan 25, 2023 5.455 0.020 0.37% 5.435 5.470 5.375
Jan 24, 2023 5.385 0.015 0.28% 5.370 5.430 5.345
Jan 23, 2023 5.365 0.030 0.56% 5.335 5.440 5.325
Jan 20, 2023 5.375 -0.050 -0.92% 5.425 5.485 5.355
Jan 19, 2023 5.450 -0.170 -3.02% 5.620 5.655 5.410
Jan 18, 2023 5.645 -0.085 -1.48% 5.730 5.760 5.625
Jan 17, 2023 5.725 0.030 0.53% 5.695 5.770 5.630
Jan 16, 2023 5.680 -0.005 -0.09% 5.685 5.735 5.625
Jan 13, 2023 5.650 0.055 0.98% 5.595 5.730 5.525
Jan 12, 2023 5.595 0.210 3.90% 5.385 5.615 5.330
Jan 11, 2023 5.395 0.200 3.85% 5.195 5.450 5.140

Great Portland Estates PLC Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annuale
  • Trimestrale
2017 2018 2019 2020 2021 2022
Ricavi totali 121.9 386.5 112.4 102.4 88.5 84.2
Ricavi 121.9 386.5 112.4 102.4 88.5 84.2
Costo dei Ricavi, Totale 20 274.8 49.7 27.7 24.7 30.1
Profitto Lordo 101.9 111.7 62.7 74.7 63.8 54.1
Totale Costi Operativi 310.9 311.5 57.8 51.6 290.7 -84.2
Costi Commerciali/Generali/Amministr., Totale 19.2 23.2 24.3 27.5 31.3 37.5
Depreciation / Amortization 0.9 0.9 0.8 1.5 1.6 1.6
Interessi Passivi (Utile) - Netto Operativo 194.1 -76.7 -17.3 -5.3 233 -153.8
Spese Straordinarie (Utile) 51.5 74.7 0
Other Operating Expenses, Total 25.2 14.6 0.3 0.2 0.1 0.4
Risultato d’Esercizio -189 75 54.6 50.8 -202.2 168.4
Interessi Attivi (Oneri), Netti Non Operativi 48.8 1.7 1.5 0.8 0.2 -1.7
Utile Netto al Lordo delle Imposte -140.2 76.7 56.1 51.6 -202 166.7
Utile Netto al Netto delle Imposte -139.4 70.3 49.5 51.8 -201.9 167.2
Utile Netto al Lordo di Extra Elementi -139.4 70.3 49.5 51.8 -201.9 167.2
Utile Netto -139.4 70.3 49.5 51.8 -201.9 167.2
Reddito a Disposizione di Azionisti Ordinari Esclusi Extra. Elementi -139.4 70.3 49.5 51.8 -201.9 167.2
Reddito a Disposizione di Azionisti Ordinari Inclusi Extra. Elementi -139.4 70.3 49.5 51.8 -201.9 167.2
Utile Netto Diluito -139.4 63.3 48.8 51.8 -201.9 167.2
Azioni Medie Ponderate Diluite 280.087 346.8 285 259.2 252.928 252.991
EPS Diluito Esclusi Elementi Straordinari -0.4977 0.18253 0.17123 0.19985 -0.79825 0.66089
Dividends per Share - Common Stock Primary Issue 0.05939 0.09552 0.0976 0.1008 0.1008 0.1054
EPS Diluito Normalizzato -0.37819 0.37995 0.17123 0.19985 -0.79825 0.66089
Rettifica Diluizione -7 -0.7 0
Q4 2020 Q2 2020 Q4 2021 Q2 2021 Q4 2022
Ricavi totali 48 38.7 49.8 42.2 42
Ricavi 48 38.7 49.8 42.2 42
Costo dei Ricavi, Totale 10.2 10.1 14.6 13.7 16.4
Profitto Lordo 37.8 28.6 35.2 28.5 25.6
Totale Costi Operativi 41.1 193.9 96.8 -20.2 -64
Costi Commerciali/Generali/Amministr., Totale 15.3 12.9 20 19.3 19.8
Interessi Passivi (Utile) - Netto Operativo 15.5 170.8 62.2 -53.4 -100.4
Other Operating Expenses, Total 0.1 0.1 0 0.2 0.2
Risultato d’Esercizio 6.9 -155.2 -47 62.4 106
Interessi Attivi (Oneri), Netti Non Operativi 0.3 0.4 -0.2 -0.1 -1.6
Utile Netto al Lordo delle Imposte 7.2 -154.8 -47.2 62.3 104.4
Utile Netto al Netto delle Imposte 7.7 -154.8 -47.1 62.2 105
Utile Netto al Lordo di Extra Elementi 7.7 -154.8 -47.1 62.2 105
Utile Netto 7.7 -154.8 -47.1 62.2 105
Reddito a Disposizione di Azionisti Ordinari Esclusi Extra. Elementi 7.7 -154.8 -47.1 62.2 105
Reddito a Disposizione di Azionisti Ordinari Inclusi Extra. Elementi 7.7 -154.8 -47.1 62.2 105
Rettifica Diluizione 0
Utile Netto Diluito 7.7 -154.8 -47.1 62.2 105
Azioni Medie Ponderate Diluite 253.8 252.9 252.957 252.991 252.991
EPS Diluito Esclusi Elementi Straordinari 0.03034 -0.6121 -0.1862 0.24586 0.41504
Dividends per Share - Common Stock Primary Issue 0.0632 0.0376 0.0632 0.0422 0.0632
EPS Diluito Normalizzato 0.03034 -0.6121 -0.1862 0.24586 0.41504
  • Annuale
  • Trimestrale
2017 2018 2019 2020 2021 2022
Totale Attivo Corrente 625 386 155.9 111.5 31 21.1
Disponibilità Liquide e Investimenti a Breve Termine 25.5 351.4 139.4 94.9 11.1 0
Disponibilità Liquide e Mezzi Equivalenti 25.5 351.4 139.4 94.9 11.1 0
Totale Crediti, Netto 323.6 13.8 10.3 15.6 19.1 20.6
Accounts Receivable - Trade, Net 3.9 3.4 2.9 9.6 15.5 8.4
Prepaid Expenses 0.7 1.3 0.6 1 0.8 0.5
Other Current Assets, Total 275.2 19.5 5.6 0
Total Assets 3464.8 3120 2696.8 2753.3 2559.9 2757.8
Property/Plant/Equipment, Total - Net 5.1 4.6 4 7.5 6.3 5
Property/Plant/Equipment, Total - Gross 6.2 6.6 6.7 11.7 12.1 12.4
Accumulated Depreciation, Total -1.1 -2 -2.7 -4.2 -5.8 -7.4
Long Term Investments 2832.7 2728.9 2536.9 2634.3 2521.9 2728.2
Other Long Term Assets, Total 2 0.5 0 0.7 3.5
Total Current Liabilities 147 514.3 50.4 60 55.1 55.4
Notes Payable/Short Term Debt 0 0 0 0 0 0
Other Current Liabilities, Total 147 363.4 50.4 60 21.6 19.1
Total Liabilities 726.4 753.1 387.1 550.2 588.3 644.9
Total Long Term Debt 573.6 237 336.7 489.8 533.2 589.5
Long Term Debt 537.7 196.2 296 444.3 488.6 531
Capital Lease Obligations 35.9 40.8 40.7 45.5 44.6 58.5
Other Liabilities, Total 5.8 0 0.4 0
Total Equity 2738.4 2366.9 2309.7 2203.1 1971.6 2112.9
Common Stock 43 43 41.4 38.7 38.7 38.7
Additional Paid-In Capital 352 46 46 46 46 46
Retained Earnings (Accumulated Deficit) 2347.2 2280.3 2224 2119 1886.7 2024.6
Treasury Stock - Common -3.8 -2.4 -1.7 -0.6
Total Liabilities & Shareholders’ Equity 3464.8 3120 2696.8 2753.3 2559.9 2757.8
Total Common Shares Outstanding 281.664 281.664 271.366 253.868 253.868 253.868
Current Port. of LT Debt/Capital Leases 150.9 0 0.2
Deferred Income Tax 1.8 0 0 0 0
Accrued Expenses 33.5 36.1
Other Equity, Total 0.2 3.6
Mar 2020 Sep 2020 Mar 2021 Sep 2021 Mar 2022
Totale Attivo Corrente 111.5 30.8 31 28.6 21.1
Disponibilità Liquide e Investimenti a Breve Termine 94.9 7.2 11.1 6.8 0
Disponibilità Liquide e Mezzi Equivalenti 94.9 7.2 11.1 6.8 0
Totale Crediti, Netto 15.6 22.4 19.1 20.6 20.6
Accounts Receivable - Trade, Net 9.6 17.9 15.5 12.7 12.4
Prepaid Expenses 1 1.2 0.8 1.2 0.5
Other Current Assets, Total 0
Total Assets 2753.3 2538 2559.9 2558.1 2757.8
Property/Plant/Equipment, Total - Net 7.5 7 6.3 5.7 5
Property/Plant/Equipment, Total - Gross 11.7 11.9 12.1 12.2 12.4
Accumulated Depreciation, Total -4.2 -4.9 -5.8 -6.5 -7.4
Long Term Investments 2634.3 2500.2 2521.9 2523.7 2728.2
Total Current Liabilities 60 54 55.1 53.3 55.4
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 60 54 15.1 17.6 19.1
Total Liabilities 550.2 511.3 588.3 542.8 644.9
Total Long Term Debt 489.8 454.5 533.2 489.5 589.5
Long Term Debt 444.3 409.5 488.6 445.4 531
Capital Lease Obligations 45.5 45 44.6 44.1 58.5
Deferred Income Tax 0 0 0
Other Liabilities, Total 0.4 2.8 0 0
Total Equity 2203.1 2026.7 1971.6 2015.3 2112.9
Common Stock 38.7 38.7 38.7 38.7 38.7
Additional Paid-In Capital 46 46 46 46 46
Retained Earnings (Accumulated Deficit) 2119 1942.4 1886.7 1928.9 2024.6
Treasury Stock - Common -0.6 -0.4
Total Liabilities & Shareholders’ Equity 2753.3 2538 2559.9 2558.1 2757.8
Total Common Shares Outstanding 253.868 253.868 253.868 253.868 253.868
Other Long Term Assets, Total 0.7 0.1 3.5
Payable/Accrued 40
Other Equity, Total 0.2 1.7 3.6
Accrued Expenses 35.7 36.1
Current Port. of LT Debt/Capital Leases 0.2
  • Annuale
  • Trimestrale
2017 2018 2019 2020 2021 2022
Reddito Netto/Linea di Partenza -137.5 149.7 54.6 50.8 -202.2 168.4
Liquidità da Attività Operative -58.3 239.6 27 38.6 16.6 6.7
Elementi Non Monetari 126.2 152.4 -1 2.5 238.5 -151.3
Cash Taxes Paid -0.1 1.6 5 3.6 -0.1 -0.4
Interessi di Cassa Corrisposti 29 18.4 12.3 10.1 10.3 13.9
Variazioni del Capitale Circolante -47 -63.4 -27.3 -14.7 -19.7 -12
Liquidità da Attività di Investimento 170.2 465.8 223.3 -68.3 -110 -24.1
Spese in Conto Capitale -4.9 -0.4 -0.1 -0.1 -0.4 -0.3
Altri Elementi del Cash Flow da Investimenti, Totale 175.1 466.2 223.4 -68.2 -109.6 -23.8
Liquidità da Attività di Finanziamento -99.1 -379.5 -462.3 -14.8 9.6 6.3
Elementi del Cash Flow da Finanziamenti 34.7 23.1 -306
Total Cash Dividends Paid -31.6 -143.7 -32.7 -33.3 -31.7 -32.7
Emissione (Dismissione) di Debiti, Netto -102.2 -258.9 -49.9 146.3 41.3 39
Variazione Netta della Liquidità 12.8 325.9 -212 -44.5 -83.8 -11.1
Liquidità da Attività Operative 0.9 0.7 1.6
Emissione (Dismissione) di Azioni, Netto -73.7 -127.8 0
Mar 2020 Sep 2020 Mar 2021 Sep 2021 Mar 2022
Net income/Starting Line 50.8 -155.2 -202.2 62.4 168.4
Cash From Operating Activities 38.6 -0.2 16.6 2 6.7
Non-Cash Items 2.5 173.3 238.5 -51.7 -151.3
Cash Taxes Paid 3.6 0 -0.1 -0.4 -0.4
Cash Interest Paid 10.1 5.3 10.3 7.1 13.9
Changes in Working Capital -14.7 -18.3 -19.7 -9.4 -12
Cash From Investing Activities -68.3 -32.2 -110 59 -24.1
Capital Expenditures -0.1 -0.2 -0.4 -0.1 -0.3
Other Investing Cash Flow Items, Total -68.2 -32 -109.6 59.1 -23.8
Cash From Financing Activities -14.8 -55.3 9.6 -65.3 6.3
Total Cash Dividends Paid -33.3 -18.9 -31.7 -18.8 -32.7
Issuance (Retirement) of Stock, Net -127.8 0 0
Issuance (Retirement) of Debt, Net 146.3 -36.4 41.3 -46.5 39
Net Change in Cash -44.5 -87.7 -83.8 -4.3 -11.1
Cash From Operating Activities 0.7 1.6
Nome investitore Tipo investitore Percentuale in circolazione Azioni detenute Variazione azioni Data partecipazioni Rating di turnover
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 15.0038 38089719 2535522 2021-09-16 LOW
T. Rowe Price Associates, Inc. Investment Advisor 13.0021 33008070 15208 2023-01-11 LOW
BlackRock Investment Management (UK) Ltd. Investment Advisor/Hedge Fund 9.441 23967772 -1139625 2022-12-16 LOW
Kohlberg Kravis Roberts & Co. L.P. Private Equity 5.3491 13579569 0 2021-05-18 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 3.7811 9599056 132261 2022-09-22 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 2.8436 7219102 -209209 2023-01-01 LOW
T. Rowe Price International Ltd Investment Advisor/Hedge Fund 2.2678 5757111 -438829 2022-09-21 MED
State Street Global Advisors (UK) Ltd. Investment Advisor/Hedge Fund 1.5002 3808647 -563293 2023-01-01 LOW
First Eagle Investment Management, L.L.C. Investment Advisor/Hedge Fund 1.4911 3785363 269811 2022-09-21 LOW
Principal Global Investors (Equity) Investment Advisor 1.467 3724269 -66591 2023-01-01 LOW
Legal & General Investment Management Ltd. Investment Advisor/Hedge Fund 1.1473 2912525 162724 2022-09-22 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 1.1181 2838609 47831 2022-09-27 LOW
BlackRock Advisors (UK) Limited Investment Advisor/Hedge Fund 1.1153 2831412 -112666 2023-01-01 LOW
APG Asset Management N.V. Pension Fund 1.0112 2567194 -84956 2022-09-22 LOW
AXA Investment Managers Paris Investment Advisor/Hedge Fund 0.9583 2432793 -252738 2022-09-22 LOW
T. Rowe Price Investment Management, Inc. Investment Advisor 0.9293 2359227 10864 2022-09-22 HIGH
Amundi Asset Management, SAS Investment Advisor/Hedge Fund 0.9215 2339326 6178 2022-12-31 HIGH
Nuveen LLC Pension Fund 0.8735 2217411 47093 2022-09-22 LOW
LGT Bank Ltd. Bank and Trust 0.7912 2008480 0 2022-09-21 LOW
Amati Global Investors Limited Investment Advisor 0.7287 1850000 1850000 2022-12-31 LOW

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Dimensione dell'operazione (Leva x Investimento):
Apertura

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Short Long
Industry: Commercial REITs (NEC)

Gpe
33 Cavendish Square
LONDON
W1G 0PW
GB

Conto Economico

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