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Trade Nabors Industries - NBR CFD

120.61
2.01%
5.67
Low: 120.61
High: 126.97
Market Trading Hours* (UTC) Open now
Closes on Wednesday at 00:00

Mon - Thu: 08:10 - 00:00

Fri: 08:10 - 21:00

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0225%
Short position overnight fee -0.0219%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Nabors Industries 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.

Key Stats
Prev. Close* 123.09
Open* 123.09
Day's Range* 120.61 - 120.61
1-Year Change* 60.59%
Volume N/A
Average Vol. (3m) 3.7099
52 wk Range N/A
Market Cap 1253.02
P/E Ratio N/A
Shares Outstanding 9418390
Revenue 2267.19
EPS -62.3046
Dividend (Yield %) N/A
Beta 2.68151
Next Earnings Date Oct 24, 2022

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
Aug 15, 2022 123.09 1.23 1.01% 121.86 126.03 118.40
Aug 12, 2022 129.26 2.60 2.05% 126.66 133.02 126.31
Aug 11, 2022 129.94 3.53 2.79% 126.41 132.52 125.04
Aug 10, 2022 122.41 0.59 0.48% 121.82 126.49 119.07
Aug 9, 2022 121.54 -2.15 -1.74% 123.69 128.67 121.54
Aug 8, 2022 122.57 1.56 1.29% 121.01 126.08 119.20
Aug 5, 2022 122.47 6.93 6.00% 115.54 126.77 109.81
Aug 4, 2022 113.43 -19.60 -14.73% 133.03 133.03 113.43
Aug 3, 2022 129.90 -8.03 -5.82% 137.93 139.48 129.38
Aug 2, 2022 135.46 2.68 2.02% 132.78 141.44 131.87
Aug 1, 2022 133.79 -1.11 -0.82% 134.90 137.81 129.98
Jul 29, 2022 141.23 5.67 4.18% 135.56 144.20 135.48
Jul 28, 2022 130.57 -1.83 -1.38% 132.40 134.33 127.40
Jul 27, 2022 128.96 9.91 8.32% 119.05 131.91 119.05
Jul 26, 2022 122.40 1.50 1.24% 120.90 124.56 119.03
Jul 25, 2022 115.48 4.60 4.15% 110.88 122.09 110.38
Jul 22, 2022 108.92 -2.66 -2.38% 111.58 116.38 108.92
Jul 21, 2022 108.91 -9.30 -7.87% 118.21 118.21 108.79
Jul 20, 2022 117.75 1.85 1.60% 115.90 122.32 112.68
Jul 19, 2022 115.40 5.18 4.70% 110.22 118.68 109.20

Nabors Industries Events

Time (UTC) Country Event
Monday, October 24, 2022
10:59
  BM
Q3 2022 Nabors Industries Ltd Earnings Release
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 2227.84 2564.28 3057.62 3043.38 2134.04 2017.55
Revenue 2227.84 2564.28 3057.62 3043.38 2134.04 2017.55
Cost of Revenue, Total 1344.3 1718.07 1976.97 1929.33 1333.07 1286.9
Gross Profit 883.541 846.216 1080.65 1114.05 800.971 730.652
Total Operating Expense 2999.32 2902.05 3323.85 3410.14 2610.29 2307.03
Selling/General/Admin. Expenses, Total 227.639 251.184 265.822 258.731 203.515 213.559
Research & Development 33.582 51.069 56.147 50.359 33.564 35.153
Depreciation / Amortization 871.631 842.943 866.87 876.091 853.699 693.381
Unusual Expense (Income) 226.505 45.809 139.768 219.272 186.606 76.331
Other Operating Expenses, Total 295.669 -7.022 18.265 76.353 -0.17 1.708
Operating Income -771.485 -337.767 -266.227 -366.754 -476.243 -289.48
Interest Income (Expense), Net Non-Operating -411.76 -223.291 -240.778 -215.027 -216.961 -174.726
Gain (Loss) on Sale of Assets -14.83 -19.026 -11.789 -7.141 -12.363 -23.883
Net Income Before Taxes -1198.07 -580.084 -518.794 -588.922 -705.567 -488.089
Net Income After Taxes -1011.24 -358.514 -598.063 -680.498 -762.853 -543.71
Minority Interest -0.135 -6.178 -28.222 -22.375 -42.795 -25.582
Net Income Before Extra. Items -1011.38 -364.692 -626.285 -702.873 -805.648 -569.292
Total Extraordinary Items -18.363 -182.119 -14.663 -0.012 0.007 0.02
Net Income -1029.74 -546.811 -640.948 -702.885 -805.641 -569.272
Total Adjustments to Net Income 0 13.21 -25.222 -38.237 -32.178 -13.098
Income Available to Common Excl. Extra. Items -1011.38 -351.482 -651.507 -741.11 -837.826 -582.39
Income Available to Common Incl. Extra. Items -1029.74 -533.601 -666.17 -741.122 -837.819 -582.37
Diluted Net Income -1029.74 -533.601 -666.17 -741.122 -837.819 -582.37
Diluted Weighted Average Shares 5.5295 5.61306 6.68794 7.03234 7.059 7.605
Diluted EPS Excluding Extraordinary Items -182.906 -62.6186 -97.4152 -105.386 -118.689 -76.5799
Dividends per Share - Common Stock Primary Issue 12 12 12 2 0.5
Diluted Normalized EPS -154.537 -55.1106 -82.6854 -84.4586 -100.368 -68.0146
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total revenue 460.511 489.333 524.165 543.539 568.539
Revenue 460.511 489.333 524.165 543.539 568.539
Cost of Revenue, Total 290.654 312.466 336.538 347.238 372.712
Gross Profit 169.857 176.867 187.627 196.301 195.827
Total Operating Expense 526.502 604.128 594.367 582.032 678.499
Selling/General/Admin. Expenses, Total 54.66 51.58 52.897 54.422 53.639
Research & Development 7.467 7.965 9.498 10.223 11.678
Depreciation / Amortization 177.276 174.775 173.375 167.955 164.359
Unusual Expense (Income) -4.085 61.592 17.883 0.941 3.148
Other Operating Expenses, Total 0.53 -4.25 4.176 1.253 72.963
Operating Income -65.991 -114.795 -70.202 -38.493 -109.96
Interest Income (Expense), Net Non-Operating -44.091 -41.924 -42.884 -45.827 -50.961
Gain (Loss) on Sale of Assets -8.522 -8.965 0.168 -6.563 -0.076
Net Income Before Taxes -118.604 -165.684 -112.918 -90.883 -160.997
Net Income After Taxes -128.329 -190.403 -115.702 -109.276 -174.668
Minority Interest -8.776 -5.614 -6.778 -4.414 -9.828
Net Income Before Extra. Items -137.105 -196.017 -122.48 -113.69 -184.496
Total Extraordinary Items 0.019 0.008 -0.02 0.013 0
Net Income -137.086 -196.009 -122.5 -113.677 -184.496
Total Adjustments to Net Income -6.055 -2.33 -2.356 -2.357 0
Income Available to Common Excl. Extra. Items -143.16 -198.347 -124.836 -116.047 -184.496
Income Available to Common Incl. Extra. Items -143.141 -198.339 -124.856 -116.034 -184.496
Diluted Net Income -143.141 -198.339 -124.856 -116.034 -184.496
Diluted Weighted Average Shares 7.102 7.46 7.907 7.95 8.311
Diluted EPS Excluding Extraordinary Items -20.1577 -26.5881 -15.788 -14.5971 -22.199
Dividends per Share - Common Stock Primary Issue 0.75 0 0 0
Diluted Normalized EPS -19.7516 -20.4403 -14.3318 -13.9836 -21.9469
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 1155.84 1447.34 1593.56 1248.67 1131.46 1517.81
Cash and Short Term Investments 295.202 365.366 481.802 452.496 481.746 991.488
Cash & Equivalents 264.093 336.997 447.766 435.99 472.246 991.471
Short Term Investments 31.109 28.369 34.036 16.506 9.5 0.017
Total Receivables, Net 508.355 698.477 756.32 453.042 362.977 287.572
Accounts Receivable - Trade, Net 508.355 698.477 756.32 453.042 362.977 287.572
Total Inventory 103.595 166.307 165.587 176.341 160.585 126.448
Other Current Assets, Total 248.687 217.186 189.854 166.787 126.157 112.301
Total Assets 8187.02 8401.98 7853.94 6760.66 5503.43 5525.36
Property/Plant/Equipment, Total - Net 6267.58 6109.56 5467.87 4977.2 4018.02 3355.55
Property/Plant/Equipment, Total - Gross 13556.7 13929.9 13695.4 13662.3 13145 12324
Accumulated Depreciation, Total -7289.15 -7820.29 -8227.51 -8685.07 -9126.93 -8968.41
Goodwill, Net 166.917 173.226 183.914 28.38
Long Term Investments 0.893
Other Long Term Assets, Total 595.783 671.857 608.597 506.416 353.944 652.008
Total Current Liabilities 821.934 919.476 832.077 656.548 515.469 525.228
Accounts Payable 264.578 363.416 392.843 295.159 220.922 253.748
Accrued Expenses 257.264 272.622 215.945 235.142 205.288 177.838
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 0.297 0.181 0.561 0 0 0
Other Current Liabilities, Total 299.795 283.257 222.728 126.247 89.259 93.642
Total Liabilities 4939.99 5490.17 5153.09 4777.85 4352.04 4934.71
Total Long Term Debt 3578.33 4027.77 3585.88 3333.22 2968.7 3262.79
Long Term Debt 3578.33 4027.77 3585.88 3333.22 2968.7 3262.79
Deferred Income Tax 9.495 10.338 6.311 3.149 1.576 2.773
Minority Interest 7.77 230.955 454.337 492.746 548.264 803.565
Other Liabilities, Total 522.456 301.633 274.485 292.184 318.034 340.347
Total Equity 3247.02 2911.82 2700.85 1982.81 1151.38 590.656
Common Stock 0.334 0.368 0.41 0.416 0.419 0.466
Additional Paid-In Capital 2521.33 2791.13 3392.94 3412.97 3423.94 3454.56
Retained Earnings (Accumulated Deficit) 2033.43 1423.15 650.842 -104.775 -946.1 -1537.99
Treasury Stock - Common -1295.95 -1314.02 -1314.02 -1314.02 -1315.75 -1315.75
Unrealized Gain (Loss) 14.235 9.144 0 0
Other Equity, Total -26.354 2.041 -29.325 -11.788 -11.124 -10.634
Total Liabilities & Shareholders’ Equity 8187.02 8401.98 7853.94 6760.66 5503.43 5525.36
Total Common Shares Outstanding 5.6785 6.2942 7.13704 7.26796 7.293 8.205
Redeemable Preferred Stock 0 287.5 280.65 243.5 0
Preferred Stock - Non Redeemable, Net -287.494 -280.644 -243.495
Total Preferred Shares Outstanding 5.75 5.613 4.87 0
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 1036.03 1087.14 1322.63 1517.81 944.068
Cash and Short Term Investments 417.561 399.897 771.884 991.488 394.039
Cash & Equivalents 417.544 399.881 771.878 991.471 394.028
Short Term Investments 0.017 0.016 0.006 0.017 0.011
Total Receivables, Net 331.453 312.136 282.726 287.572 297.209
Accounts Receivable - Trade, Net 331.453 312.136 282.726 287.572 297.209
Total Inventory 154.272 147.362 136.992 126.448 132.126
Other Current Assets, Total 132.745 227.744 131.025 112.301 120.694
Total Assets 5254.91 5042.32 5174.83 5525.36 4857.17
Property/Plant/Equipment, Total - Net 3829.22 3562.35 3443.74 3332.5 3245.57
Other Long Term Assets, Total 389.653 392.829 408.462 675.057 667.524
Total Current Liabilities 490.797 529.116 516.088 525.228 513.445
Accounts Payable 234.944 232.543 251.74 253.748 278.878
Accrued Expenses 140.827 193.228 162.792 177.838 154
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 115.026 103.345 101.556 93.642 80.567
Total Liabilities 4241.15 4223.4 4465.81 4934.71 4313.55
Total Long Term Debt 2898.88 2823.12 3075.52 3262.79 2610.09
Long Term Debt 2898.88 2823.12 3075.52 3262.79 2610.09
Deferred Income Tax 2.502 2.289 2.215 2.773 2.478
Minority Interest 510.368 516.521 525.655 803.565 814.943
Other Liabilities, Total 338.607 352.348 346.327 340.347 372.592
Total Equity 1013.75 818.919 709.021 590.656 543.616
Redeemable Preferred Stock 243.5 0 0 0
Preferred Stock - Non Redeemable, Net -243.495
Common Stock 0.417 0.459 0.466 0.466 0.523
Additional Paid-In Capital 3429.09 3433.14 3450.41 3454.56 3593.35
Retained Earnings (Accumulated Deficit) -1089.25 -1290.31 -1415.23 -1537.99 -1725.21
Treasury Stock - Common -1315.75 -1315.75 -1315.75 -1315.75 -1315.75
Other Equity, Total -10.756 -8.624 -10.872 -10.634 -9.298
Total Liabilities & Shareholders’ Equity 5254.91 5042.32 5174.83 5525.36 4857.17
Total Common Shares Outstanding 7.413 8.091 8.242 8.205 9.385
Total Preferred Shares Outstanding 4.87 0 0 0
Current Port. of LT Debt/Capital Leases 0
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line -1029.61 -540.633 -612.726 -680.51 -762.846 -543.69
Cash From Operating Activities 531.905 62.756 325.773 684.558 349.761 428.776
Cash From Operating Activities 874.296 845.439 868.509 876.103 853.697 693.382
Deferred Taxes -206.67 9.096 71.579 35.894 64.717 -10.711
Non-Cash Items 798.276 136.846 214.573 316.415 202.597 101.66
Cash Taxes Paid 34.479 20.581 11.383 6.553 -17.505 11.221
Cash Interest Paid 184.445 191.986 202.803 174.357 157.437 161.932
Changes in Working Capital 95.61 -387.992 -216.162 136.656 -8.404 188.135
Cash From Investing Activities -382.187 -497.868 -367.088 -355.856 -165.457 -117.225
Capital Expenditures -395.455 -574.467 -458.938 -427.741 -195.523 -237.64
Other Investing Cash Flow Items, Total 13.268 76.599 91.85 71.885 30.066 120.415
Cash From Financing Activities -138.216 512.18 155.629 -331.573 -148.001 488.421
Financing Cash Flow Items -16.249 14.159 121.294 -11.069 -47.189 195.259
Total Cash Dividends Paid -50.924 -68.503 -87.098 -49.583 -22.538 -7.38
Issuance (Retirement) of Stock, Net -0.72 -9.771 579.331 0 -1.731 0
Issuance (Retirement) of Debt, Net -70.323 576.295 -457.898 -270.921 -76.543 300.542
Foreign Exchange Effects -2.003 -0.029 -5.263 -6.171 -3.061 -1.742
Net Change in Cash 9.499 77.039 109.051 -9.042 33.242 798.23
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line -128.31 -318.705 -434.427 -543.69 -174.668
Cash From Operating Activities 79.49 213.203 326.483 428.776 41.354
Cash From Operating Activities 177.277 352.052 525.427 693.382 164.36
Deferred Taxes -1.178 -3.649 -9.305 -10.711 3.721
Non-Cash Items 4.324 77.604 92.387 101.66 75.225
Changes in Working Capital 27.377 105.901 152.401 188.135 -27.284
Cash From Investing Activities -19.119 -84.919 -65.088 -117.225 -82.107
Capital Expenditures -40.852 -117.785 -183.502 -237.64 -84.258
Other Investing Cash Flow Items, Total 21.733 32.866 118.414 120.415 2.151
Cash From Financing Activities -113.921 -199.393 37.828 488.421 -555.256
Financing Cash Flow Items -53.421 -55.278 -55.784 195.259 -4.853
Total Cash Dividends Paid -3.662 -7.315 -7.38 -7.38 -0.01
Issuance (Retirement) of Debt, Net -56.838 -136.8 100.992 300.542 -546.127
Foreign Exchange Effects -1.111 -1.349 -0.72 -1.742 -1.289
Net Change in Cash -54.661 -72.458 298.503 798.23 -597.298
Issuance (Retirement) of Stock, Net 0 0 -4.266

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Nabors Company profile

About Nabors Industries Ltd.

Nabors Industries Ltd. owns and operates a land-based drilling rig fleet. The Company is a provider of offshore platform drilling rigs in the United States and multiple international markets. The Company conducts its Drilling & Rig Services business through four segments: U.S. Drilling, Canada Drilling, International Drilling and Rig Services. The Company provides wellbore placement services, drilling software and performance tools, drilling equipment and various technologies throughout the oil and gas markets. The Company's Drilling & Rig Services business comprises land-based and offshore drilling rig operations and other rig services, consisting of equipment manufacturing, rig instrumentation and optimization software. The Company is a provider of directional drilling and measurement while drilling (MWD) systems and services. The Company also provides drilling technology and equipment, and well-site services.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Nabors Industries Ltd. revenues decreased 5% to $2.02B. Net loss applicable to common stockholders excluding extraordinary items decreased 30% to $582.4M. Revenues reflect International Drilling segment decrease of 8% to $1.04B, U.S segment decrease of 5% to $641.2M, Canada Drilling segment decrease of 28% to $39.3M, Other foreign segment decrease of 6% to $1.21B.

Equity composition

Common Stock $.001 Par, 03/11, 800M auth., 316,435,000 issd. less 29,414,000 shs. in Treas @ $977.9M. Insiders owns approx. 7.82%. Pref. Stock, 12/10, 75,000 issd. IPO: 8/93, 1.8M shs @$ 9.875 by ML. *NOTE:1/97, acq. Adcor-Nicklos Drilling, issd. 3.4M shares. 04/06, 2-for-1 tock split.

Industry: Oil & Gas Drilling (NEC)

Crown House
4 Par-La-Ville Road
HAMILTON
HM 08
BM

Income statement

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