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 Pennon Group PLC - PNN CFD

9.34
0%
0.05
Basso: 9.32
Alto: 9.47
Market Trading Hours* (UTC) Opens on Thursday at 08:00

Mon - Fri: 08:00 - 12:00 12:03 - 16:30

  • Riepilogo
  • Dati Storici
  • Eventi
  • Conto Economico
  • Stato Patrimoniale
  • Cash Flow
  • Titolarità
Condizioni di Trading
Spread 0.05
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

Pennon Group 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.* 9.34
Apertura* 9.4
Variazione a 1 Anno* -10.13%
Range Giornaliero* 9.32 - 9.47
Range a 52 sett. 7.35-11.24
Volume Medio (10 giorni) 859.55K
Volume Medio (3 mesi) 14.24M
Capitalizzazione di Mercato 2.44B
Rapporto P/E 49.28
Azioni Circolanti 261.29M
Ricavi 828.50M
EPS 0.19
Dividendi (Rendimento %) 4.25334
Beta 0.35
Prossima Data per Utili Jun 1, 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 8, 2023 9.34 -0.01 -0.11% 9.35 9.50 9.32
Feb 7, 2023 9.34 0.06 0.65% 9.28 9.34 9.20
Feb 6, 2023 9.28 0.14 1.53% 9.14 9.35 9.14
Feb 3, 2023 9.29 -0.09 -0.96% 9.38 9.41 9.20
Feb 2, 2023 9.38 0.28 3.08% 9.10 9.42 9.08
Feb 1, 2023 9.04 -0.05 -0.55% 9.09 9.23 9.02
Jan 31, 2023 9.10 -0.10 -1.09% 9.20 9.25 9.05
Jan 30, 2023 9.26 -0.13 -1.38% 9.39 9.39 9.20
Jan 27, 2023 9.38 0.16 1.74% 9.22 9.40 9.21
Jan 26, 2023 9.29 -0.03 -0.32% 9.32 9.38 9.19
Jan 25, 2023 9.44 0.17 1.83% 9.27 9.45 9.20
Jan 24, 2023 9.19 0.02 0.22% 9.17 9.36 9.17
Jan 23, 2023 9.17 0.00 0.00% 9.17 9.29 9.16
Jan 20, 2023 9.17 -0.02 -0.22% 9.19 9.27 9.13
Jan 19, 2023 9.19 0.01 0.11% 9.18 9.28 9.08
Jan 18, 2023 9.18 -0.01 -0.11% 9.19 9.27 9.13
Jan 17, 2023 9.24 -0.08 -0.86% 9.32 9.33 9.16
Jan 16, 2023 9.37 0.10 1.08% 9.27 9.50 9.27
Jan 13, 2023 9.35 0.11 1.19% 9.24 9.48 9.24
Jan 12, 2023 9.71 0.12 1.25% 9.59 9.74 9.55

Pennon Group PLC Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annuale
  • Trimestrale
2017 2018 2019 2020 2021 2022
Ricavi totali 1353.1 1396.2 632.6 636.7 624.1 792.3
Ricavi 1353.1 1396.2 632.6 636.7 624.1 792.3
Costo dei Ricavi, Totale 115.8 108.7 15 14.9 18.1 22.9
Profitto Lordo 1237.3 1287.5 617.6 621.8 606 769.4
Totale Costi Operativi 1088 1090.7 378.6 399.1 433.7 570.9
Costi Commerciali/Generali/Amministr., Totale 213.1 226.5 73.2 81.4 78.8 90.4
Ricerca e Sviluppo 0.2 0.1 0.2 0.1 0
Depreciation / Amortization 181.4 185.7 117.2 119.8 119.4 146.7
Spese Straordinarie (Utile) 32 19.1 -5.5 7.5 4.3 15.8
Other Operating Expenses, Total 545.5 550.6 178.5 175.4 213.1 295.1
Risultato d’Esercizio 265.1 305.5 254 237.6 190.4 221.4
Interessi Attivi (Oneri), Netti Non Operativi -40.8 -26.9 -49.2 -41.6 -54.1 -92.2
Altro, Netto -13.8 -15.7 -3.4 -2.9 -4.2 -1.5
Utile Netto al Lordo delle Imposte 210.5 262.9 201.4 193.1 132.1 127.7
Utile Netto al Netto delle Imposte 180.5 221.9 168.6 122.5 107.3 15.6
Utile Netto al Lordo di Extra Elementi 180.5 222.1 168.9 123.6 107.5 15.4
Utile Netto 180.5 222.1 222.9 207.4 1762.2 15.4
Total Adjustments to Net Income -16.2 -21.5 -8.6 -7 0
Reddito a Disposizione di Azionisti Ordinari Esclusi Extra. Elementi 164.3 200.6 160.3 116.6 107.5 15.4
Reddito a Disposizione di Azionisti Ordinari Inclusi Extra. Elementi 164.3 200.6 214.3 200.4 1762.2 15.4
Rettifica Diluizione 0 0 0
Utile Netto Diluito 164.3 200.6 214.3 200.4 1762.2 15.4
Azioni Medie Ponderate Diluite 276.601 279.601 280.601 281.401 281.8 313.8
EPS Diluito Esclusi Elementi Straordinari 0.594 0.71745 0.57127 0.41435 0.38148 0.04908
Dividends per Share - Common Stock Primary Issue 0.5394 0.57885 0.6159 0.65655 0.32615 0.3853
EPS Diluito Normalizzato 0.81236 0.79792 0.54918 0.43426 0.41377 -0.2167
Partecipazione di Minoranza 0.2 0.3 1.1 0.2 -0.2
Totale Elementi Straordinari 54 83.8 1654.7 0
Q4 2020 Q2 2020 Q4 2021 Q2 2021 Q4 2022
Ricavi totali 636.7 299.2 324.9 389.3 403
Ricavi 636.7 299.2 324.9 389.3 403
Costo dei Ricavi, Totale 14.9 8.7 9.4 9.8 13.1
Profitto Lordo 621.8 290.5 315.5 379.5 389.9
Totale Costi Operativi 399.1 209.2 224.5 272.4 298.5
Costi Commerciali/Generali/Amministr., Totale 70 37.6 41.7 43 47.4
Depreciation / Amortization 119.8 59.7 59.7 72 74.7
Spese Straordinarie (Utile) 7.9 4.3 0.1 10.5 5.3
Other Operating Expenses, Total 186.5 98.9 113.6 137.1 158
Risultato d’Esercizio 237.6 90 100.4 116.9 104.5
Interessi Attivi (Oneri), Netti Non Operativi -41.6 -26.5 -27.6 -36.8 -55.4
Altro, Netto -2.9 -1.6 -2.6 -0.2 -1.3
Utile Netto al Lordo delle Imposte 193.1 61.9 70.2 79.9 47.8
Utile Netto al Netto delle Imposte 122.5 50.4 56.9 -22.2 37.8
Partecipazione di Minoranza 1.1 0.2 0 -0.1 -0.1
Utile Netto al Lordo di Extra Elementi 123.6 50.6 56.9 -22.3 37.7
Totale Elementi Straordinari 83.8 1720 -65.3 0 0
Utile Netto 207.4 1770.6 -8.4 -22.3 37.7
Total Adjustments to Net Income -7 0 0
Reddito a Disposizione di Azionisti Ordinari Esclusi Extra. Elementi 116.6 50.6 56.9 -22.3 37.7
Reddito a Disposizione di Azionisti Ordinari Inclusi Extra. Elementi 200.4 1770.6 -8.4 -22.3 37.7
Utile Netto Diluito 200.4 1770.6 -8.4 -22.3 37.7
Azioni Medie Ponderate Diluite 281.401 281.867 281 280.3 313.8
EPS Diluito Esclusi Elementi Straordinari 0.41435 0.17952 0.20249 -0.07956 0.12014
Dividends per Share - Common Stock Primary Issue 0.65655 0.10155 0.2246 0.117 0.2683
EPS Diluito Normalizzato 0.43568 0.21251 0.20178 -0.38887 0.13066
Rettifica Diluizione 0
  • Annuale
  • Trimestrale
2017 2018 2019 2020 2021 2022
Totale Attivo Corrente 974.3 1038.8 1095 861.2 3142.9 804.7
Disponibilità Liquide e Investimenti a Breve Termine 374.3 403 365.7 438.7 2668.5 357.3
Cash 101.2 114.9 110.5 64.9 56.1 57.3
Disponibilità Liquide e Mezzi Equivalenti 78 113 255.2 373.8 2612.4 300
Investimenti a Breve Termine 195.1 175.1
Totale Crediti, Netto 256.1 229.1 274.8 177 208.5 264.8
Accounts Receivable - Trade, Net 240.5 225 268.9 165.1 179.1 222.2
Total Inventory 21.3 24.6 28.8 4.9 5.4 7.7
Prepaid Expenses 84.7 186.9 210 10.7 8.4 7.6
Other Current Assets, Total 237.9 195.2 215.7 229.9 252.1 167.3
Total Assets 5911.3 6163.8 6459.5 6762.5 6420 5331.7
Property/Plant/Equipment, Total - Net 4103.2 4310.6 4509.4 3171.8 3221 4264
Property/Plant/Equipment, Total - Gross 6278.8 6662.1 7038.8 4971.8 5143.1 6327.9
Accumulated Depreciation, Total -2175.6 -2351.5 -2529.4 -1800 -1922.1 -2063.9
Goodwill, Net 385 385 385 42.3 42.3 158.4
Intangibles, Net 67.1 72.6 92.1 1.2 1.2 13.9
Long Term Investments 0.1 22.8 51.1 0 0
Note Receivable - Long Term 97.9 40.6 68.1
Other Long Term Assets, Total 283.7 293.4 258.8 2686 12.6 90.7
Total Current Liabilities 519.9 626.2 511.1 184.4 223.8 415.2
Accounts Payable 107.4 98.2 127.6 64.2 74.4 107.5
Accrued Expenses 174.9 240.1 156 18.3 30.8 33.8
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 146.5 209.8 150.4 59.9 88.3 240.2
Other Current Liabilities, Total 91.1 78.1 77.1 42 30.3 33.7
Total Liabilities 4402.1 4526.2 4780.9 5050.5 3435.1 4057.2
Total Long Term Debt 3116.5 3177 3498.7 3654.9 2766.7 2961.7
Long Term Debt 1762.7 1700.2 2001.9 2235.6 1375.7 1919.9
Capital Lease Obligations 1353.8 1476.8 1496.8 1419.3 1391 1041.8
Deferred Income Tax 269.6 295.6 305.1 261.6 259.6 506.9
Other Liabilities, Total 496.1 425.9 464.8 949.5 185.1 173.3
Total Equity 1509.2 1637.6 1678.6 1712 2984.9 1274.5
Common Stock 168.4 170.8 171.1 171.3 171.8 161.7
Additional Paid-In Capital 217.4 218.8 223.6 227 232.1 235.5
Retained Earnings (Accumulated Deficit) 859.4 965.9 987.2 1017 2581 877.3
Treasury Stock - Common -2.6 -3.5
Other Equity, Total 266.6 285.6 296.7 296.7 0
Total Liabilities & Shareholders’ Equity 5911.3 6163.8 6459.5 6762.5 6420 5331.7
Total Common Shares Outstanding 275.929 279.829 280.347 280.691 281.413 264.847
Minority Interest 1.5 1.2 0.1 -0.1 0.1
Mar 2020 Sep 2020 Mar 2021 Sep 2021 Mar 2022
Totale Attivo Corrente 861.2 3334.7 3142.9 1148.9 804.7
Disponibilità Liquide e Investimenti a Breve Termine 665.9 3124.6 2919.3 885 519
Disponibilità Liquide e Mezzi Equivalenti 665.9 2420.1 2919.3 885 519
Totale Crediti, Netto 187.7 203.7 216.9 253.3 272.4
Accounts Receivable - Trade, Net 185.8 189.4 216.8 250.8 270.9
Total Inventory 4.9 5.3 5.4 7.2 7.7
Other Current Assets, Total 2.7 1.1 1.3 3.4 5.6
Total Assets 6762.5 6569.8 6420 5599.1 5331.7
Property/Plant/Equipment, Total - Net 3171.8 3187.4 3221 4206.8 4264
Goodwill, Net 42.3 42.3 42.3 160.7 158.4
Intangibles, Net 1.2 1.2 1.2 14 13.9
Long Term Investments 0 0
Other Long Term Assets, Total 2686 4.2 12.6 58.8 90.7
Total Current Liabilities 184.4 180 223.8 387.3 415.2
Accounts Payable 64.2 42.6 74.4 73.5 107.5
Accrued Expenses 18.3 34.3 30.8 43.6 33.8
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 59.9 67 88.3 171.1 240.2
Other Current Liabilities, Total 42 36.1 30.3 99.1 33.7
Total Liabilities 5050.5 3642.8 3435.1 4315.2 4057.2
Total Long Term Debt 3654.9 2965.7 2766.7 3256.8 2961.7
Long Term Debt 2235.6 1556.4 1375.7 1902.6 1919.9
Capital Lease Obligations 1419.3 1409.3 1391 1354.2 1041.8
Deferred Income Tax 261.6 245.5 259.6 493.7 506.9
Minority Interest 0.1 -0.1 -0.1 0 0.1
Other Liabilities, Total 949.5 251.7 185.1 177.4 173.3
Total Equity 1712 2927 2984.9 1283.9 1274.5
Common Stock 171.3 171.7 171.8 169.2 161.7
Additional Paid-In Capital 227 230.4 232.1 234.9 235.5
Retained Earnings (Accumulated Deficit) 1017 2524.9 2581 879.8 877.3
Other Equity, Total 296.7 0 0
Total Liabilities & Shareholders’ Equity 6762.5 6569.8 6420 5599.1 5331.7
Total Common Shares Outstanding 280.691 281.232 281.413 277.108 264.847
Investimenti a Breve Termine 704.5
Note Receivable - Long Term 9.9
  • Annuale
  • Trimestrale
2017 2018 2019 2020 2021 2022
Reddito Netto/Linea di Partenza 180.5 221.9 222.6 206.3 1762 15.6
Liquidità da Attività Operative 318.7 352.2 286.7 366 210.5 252.3
Liquidità da Attività Operative 178.2 182.5 190 197.2 119.2 143.3
Amortization 3.2 3.6 5.2 4.7 0.2 3.4
Elementi Non Monetari 119.5 102 102.4 156.1 -1509.9 222.8
Cash Taxes Paid 36.4 21.7 29.2 52.6 7.4 7.3
Interessi di Cassa Corrisposti 76.4 69.6 83.9 97.7 80.2 74.6
Variazioni del Capitale Circolante -162.7 -157.8 -233.5 -198.3 -161 -132.8
Liquidità da Attività di Investimento -330.7 -299 -409.8 -323.3 3423.3 -547.9
Spese in Conto Capitale -354.1 -391.6 -356 -333.4 -190.3 -229
Altri Elementi del Cash Flow da Investimenti, Totale 23.4 92.6 -53.8 10.1 3613.6 -318.9
Liquidità da Attività di Finanziamento -19.4 -24.5 85.8 63.6 -1437.3 -2021.7
Elementi del Cash Flow da Finanziamenti 0.1 -300.1 -1.5 85.6 0
Total Cash Dividends Paid -131.6 -107.8 -162 -172.6 -184.3 -1590.3
Emissione (Dismissione) di Azioni, Netto 4.7 3.9 5.1 3.6 4.4 -199.1
Emissione (Dismissione) di Debiti, Netto 107.4 379.5 244.2 147 -1257.4 -232.3
Variazione Netta della Liquidità -31.4 28.7 -37.3 106.3 2196.5 -2317.3
Mar 2020 Sep 2020 Mar 2021 Sep 2021 Mar 2022
Net income/Starting Line 206.3 1770.4 1762 -22.2 15.6
Cash From Operating Activities 366 69.7 210.5 95 252.3
Cash From Operating Activities 197.2 60.7 119.2 70.7 143.3
Amortization 4.7 0.1 0.2 1.3 3.4
Non-Cash Items 156.1 -1619 -1509.9 139.9 222.8
Cash Taxes Paid 52.6 11.5 7.4 6.3 7.3
Cash Interest Paid 97.7 45.4 80.2 34.6 74.6
Changes in Working Capital -198.3 -142.5 -161 -94.7 -132.8
Cash From Investing Activities -323.3 2891.3 3423.3 -524.8 -547.9
Capital Expenditures -333.4 -113.2 -190.3 -121.2 -229
Other Investing Cash Flow Items, Total 10.1 3004.5 3613.6 -403.6 -318.9
Cash From Financing Activities 63.6 -1243.9 -1437.3 -1613.6 -2021.7
Financing Cash Flow Items 85.6 0 0
Total Cash Dividends Paid -172.6 -184.3 -184.3 -1590.3 -1590.3
Issuance (Retirement) of Stock, Net 3.6 2.5 4.4 -58.5 -199.1
Issuance (Retirement) of Debt, Net 147 -1062.1 -1257.4 35.2 -232.3
Net Change in Cash 106.3 1717.1 2196.5 -2043.4 -2317.3
Nome investitore Tipo investitore Percentuale in circolazione Azioni detenute Variazione azioni Data partecipazioni Rating di turnover
Lazard Asset Management, L.L.C. Investment Advisor/Hedge Fund 9.7568 25493406 12050032 2022-12-09 LOW
BlackRock Advisors (UK) Limited Investment Advisor/Hedge Fund 6.2819 16413878 135977 2022-05-30 LOW
Pictet Asset Management Ltd. Investment Advisor/Hedge Fund 5.0995 13324523 3005 2022-05-30 LOW
Impax Asset Management Ltd. Investment Advisor 4.8467 12663862 0 2022-05-30 LOW
Amundi Asset Management, SAS Investment Advisor/Hedge Fund 3.2167 8404854 -16598 2022-12-31 HIGH
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 2.9291 7653379 -2406607 2022-06-13 LOW
Columbia Threadneedle Investments (UK) Investment Advisor/Hedge Fund 1.9598 5120664 -151769 2022-12-31 LOW
KBI Global Investors Ltd Investment Advisor/Hedge Fund 1.6751 4376722 32985 2022-10-31 LOW
INVESCO Asset Management Limited Investment Advisor/Hedge Fund 1.4257 3725264 0 2022-11-30 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 1.3498 3526781 25527 2022-09-20 LOW
Morgan Stanley Investment Management Inc. (US) Investment Advisor/Hedge Fund 1.2502 3266618 -22792 2022-12-31 LOW
Lazard Asset Management Limited Investment Advisor/Hedge Fund 1.2404 3241013 3186331 2022-09-22 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 1.1309 2954973 26903 2022-12-31 LOW
Invesco Capital Management LLC Investment Advisor 0.9602 2508977 -236421 2023-01-31 LOW
Allianz Global Investors GmbH Investment Advisor 0.864 2257658 140 2022-11-30 LOW
ClearBridge Investments Limited Investment Advisor 0.7955 2078677 1910465 2022-09-20 MED
Gravis Capital Management Limited Investment Advisor 0.7578 1980000 0 2022-12-31 LOW
Principal Global Investors (Equity) Investment Advisor 0.6614 1728211 -82858 2022-12-31 LOW
CBRE Investment Management Listed Real Assets LLC Investment Advisor/Hedge Fund 0.6588 1721434 1721434 2022-09-20 MED
Northern Trust Investments, Inc. Investment Advisor/Hedge Fund 0.5983 1563379 -234597 2022-09-20 LOW

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Commissione di trading
0
  • 1:1
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Leva
20:1
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Investimento
Dimensione dell'operazione (Leva x Investimento):
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Pennon Company profile

Su Pennon Group plc

PENNON GROUP PLC è una società di infrastrutture ambientali. La società opera attraverso società controllate che includono South West Water Limited, Bournemouth Water Limited e Viridor Limited. I segmenti della società includono acqua e gestione dei rifiuti. Le attività nell‘acqua comprendono servizi regolamentati, acquedotti ed opere idrauliche, operati dal South West Water Limited e i servizi per l‘acqua regolamentati operati da Bournemouth Water Limited. L'attività di gestione dei rifiuti consiste dei servizi di riciclaggio e recupero dei rifiuti forniti da Viridor Limited. South West Water Limited è impegnata nella fornitura di servizi idrici e per le acque reflue per Devon, Cornwall e parti del Dorset e Somerset. Bournemouth Water Limited opera nella fornitura dei servizi per l‘acqua per Dorset, Hampshire e Wiltshire. Viridor Limited è una società addetta al riciclo, recupero di energia e gestione dei rifiuti, e fornisce servizi a oltre 150 enti locali e clienti aziendali, nonché a oltre 32.000 clienti in tutto il Regno Unito.

  • IndustriaEnvironmental Services
  • IndirizzoPeninsula House, Rydon Lane, EXETER, United Kingdom (GBR)
  • Dipendenti1988
  • CEOSusan Davy
Industry: Water & Related Utilities (NEC)

Peninsula House
Rydon Lane
EXETER
DEVON EX2 7HR
GB

Conto Economico

  • Annual
  • Quarterly

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