Obchod China Everbright International Limited - 0257 CFD
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Rozpätie | 0.12 | ||||||||
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Prejsť na platformu | -0.022785% | ||||||||
Nočný poplatok krátkej pozície
Short position overnight fee
Prejsť na platformu | 0.000868% | ||||||||
Nočný poplatok | 21:00 (UTC) | ||||||||
Minimálne množstvo na obchodovanie | 1 | ||||||||
Mena | HKD | ||||||||
Marža | 20% | ||||||||
Burza cenných papierov | Hong Kong | ||||||||
Provízia pri predaji | 0% |
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China Everbright Environment Group Ltd ESG Risk Ratings
‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.
Predchádzajúce Zavrieť* | 3 |
Otvoriť* | 3 |
1-ročná zmena* | -35.34% |
Denný rozsah* | 2.98 - 3.02 |
Rozsah 52 týždňov | 2.56-4.78 |
Priemerný objem (10 dní) | 12.76M |
Priemerný objem (3 mesiace) | 247.98M |
Trhová kapitalizácia | 18.80B |
Pomer P/E | 4.08 |
Zdieľa mimoriadne | 6.14B |
Výnosy | 37.32B |
EPS | 0.75 |
Dividenda (udalosť %) | 7.84314 |
Beta | 0.98 |
Ďalší dátum zárobku | Aug 15, 2023 |
Všetky údaje poskytuje spoločnosť Refinitiv, okrem údajov označených hviezdičkou, čo sú *údaje poskytnuté Capital.com
- Last Week
- Last Month
- Last Year
- Last two Years
- Max
- Daily
- Weekly
- Monthly
Date | Zatvorenie | Change | Change (%) | Otvorenie | High | Low |
---|---|---|---|---|---|---|
Jun 1, 2023 | 3.00 | 0.02 | 0.67% | 2.98 | 3.02 | 2.98 |
May 31, 2023 | 3.00 | -0.02 | -0.66% | 3.02 | 3.02 | 2.96 |
May 30, 2023 | 3.02 | 0.00 | 0.00% | 3.02 | 3.02 | 2.96 |
May 29, 2023 | 3.10 | -0.02 | -0.64% | 3.12 | 3.16 | 3.10 |
May 25, 2023 | 3.12 | -0.04 | -1.27% | 3.16 | 3.18 | 3.10 |
May 24, 2023 | 3.18 | 0.00 | 0.00% | 3.18 | 3.22 | 3.14 |
May 23, 2023 | 3.18 | -0.06 | -1.85% | 3.24 | 3.24 | 3.16 |
May 22, 2023 | 3.22 | 0.02 | 0.63% | 3.20 | 3.24 | 3.18 |
May 19, 2023 | 3.20 | -0.06 | -1.84% | 3.26 | 3.26 | 3.18 |
May 18, 2023 | 3.26 | -0.04 | -1.21% | 3.30 | 3.34 | 3.26 |
May 17, 2023 | 3.28 | -0.04 | -1.20% | 3.32 | 3.32 | 3.28 |
May 16, 2023 | 3.30 | -0.04 | -1.20% | 3.34 | 3.34 | 3.30 |
May 15, 2023 | 3.32 | 0.00 | 0.00% | 3.32 | 3.34 | 3.28 |
May 12, 2023 | 3.34 | -0.08 | -2.34% | 3.42 | 3.42 | 3.28 |
May 11, 2023 | 3.42 | -0.06 | -1.72% | 3.48 | 3.48 | 3.40 |
May 10, 2023 | 3.48 | 0.04 | 1.16% | 3.44 | 3.52 | 3.44 |
May 9, 2023 | 3.46 | -0.02 | -0.57% | 3.48 | 3.52 | 3.44 |
May 8, 2023 | 3.46 | 0.06 | 1.76% | 3.40 | 3.48 | 3.38 |
May 5, 2023 | 3.40 | 0.02 | 0.59% | 3.38 | 3.50 | 3.36 |
May 4, 2023 | 3.40 | 0.10 | 3.03% | 3.30 | 3.42 | 3.30 |
China Everbright International Limited Events
Čas (UTC) (UTC) | Krajina | Udalosť |
---|---|---|
Tuesday, August 15, 2023 | ||
Čas (UTC) (UTC) 10:59 | Krajina HK
| Udalosť Half Year 2023 China Everbright Environment Group Ltd Earnings Release Half Year 2023 China Everbright Environment Group Ltd Earnings ReleaseForecast -Previous - |
- Výročný
- Štvrťročne
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Celkové príjmy | 37321.2 | 49895.4 | 42926.4 | 37557.6 | 27228 |
Výnosy | 37321.2 | 49895.4 | 42926.4 | 37557.6 | 27228 |
Náklady na výnosy, celkom | 22956.6 | 33432 | 28822.6 | 26099.7 | 17797.4 |
Hrubý zisk | 14364.6 | 16463.4 | 14103.8 | 11457.9 | 9430.6 |
Celkové prevádzkové náklady | 26721.3 | 36668.6 | 31479.8 | 27730.7 | 19015.1 |
Predaj/Všeobecné/Správca. Náklady, Celkom | 4280.34 | 4056.29 | 2944.21 | 2418.77 | 1955.91 |
Úrokové náklady (výnosy) – čistá prevádzka | -155.327 | -71.403 | -57.281 | -204.478 | -114.55 |
Nezvyčajné výdavky (príjem) | 639.09 | 54.901 | 374.955 | 2.334 | 4.113 |
Other Operating Expenses, Total | -999.447 | -803.235 | -604.638 | -585.708 | -627.792 |
Prevádzkový príjem | 10599.9 | 13226.8 | 11446.6 | 9826.99 | 8212.92 |
Úrokový príjem (výdavky), čistý neprevádzkový | -3281.35 | -2723.44 | -2041.25 | -1542.53 | -1214.48 |
Čistý príjem pred zdanením | 7262.95 | 10320.6 | 9386.72 | 8263.7 | 6998.44 |
Čistý príjem po zdanení | 5514.96 | 8120.34 | 7226.96 | 6368.16 | 5269.77 |
Menšinový záujem | -841.339 | -1316.24 | -1211.1 | -1164.87 | -950.54 |
Čistý príjem pred extra. Položky | 4673.62 | 6804.1 | 6015.86 | 5203.29 | 4319.23 |
Čistý príjem | 4673.62 | 6804.1 | 6015.86 | 5203.29 | 4319.23 |
Príjem k dispozícii bežnému Extra. Položky | 4601.94 | 6804.1 | 6015.86 | 5203.29 | 4319.23 |
Príjem k dispozícii bežnému vr. Extra. Položky | 4601.94 | 6804.1 | 6015.86 | 5203.29 | 4319.23 |
Zriedený čistý príjem | 4601.94 | 6804.1 | 6015.86 | 5203.29 | 4319.23 |
Zriedený vážený priemer akcií | 6142.98 | 6142.98 | 6142.98 | 6142.98 | 5035.57 |
Zriedený EPS s výnimkou mimoriadnych položiek | 0.74914 | 1.10762 | 0.97931 | 0.84703 | 0.85775 |
Dividends per Share - Common Stock Primary Issue | 0.24 | 0.34 | 0.3 | 0.26 | 0.24 |
Zriedený normalizovaný EPS | 0.82814 | 1.11465 | 1.0263 | 0.84732 | 0.85836 |
Iné, Net | -55.646 | -182.798 | -18.62 | -20.76 | |
Total Adjustments to Net Income | -71.686 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Celkové príjmy | 15872.5 | 21448.7 | 23400.1 | 26495.3 | 24549 |
Výnosy | 15872.5 | 21448.7 | 23400.1 | 26495.3 | 24549 |
Náklady na výnosy, celkom | 9136.76 | 13819.9 | 15437.4 | 17994.6 | 16934.4 |
Hrubý zisk | 6735.79 | 7628.81 | 7962.65 | 8500.73 | 7614.61 |
Celkové prevádzkové náklady | 11189.3 | 15532 | 17525.8 | 19142.7 | 18818.6 |
Predaj/Všeobecné/Správca. Náklady, Celkom | 2036.39 | 1605.79 | 2141.97 | 1388.87 | 1683.35 |
Other Operating Expenses, Total | 16.12 | 106.363 | -53.545 | -240.738 | 200.929 |
Prevádzkový príjem | 4683.28 | 5916.66 | 5874.22 | 7352.6 | 5730.33 |
Úrokový príjem (výdavky), čistý neprevádzkový | -1690.78 | -1590.57 | -1451.96 | -1271.47 | -1036.61 |
Iné, Net | -55.646 | -85.658 | -97.14 | -2.828 | |
Čistý príjem pred zdanením | 2936.85 | 4326.09 | 4336.6 | 5983.99 | 4690.89 |
Čistý príjem po zdanení | 2172.21 | 3342.75 | 3516.13 | 4604.21 | 3596.81 |
Menšinový záujem | -325.989 | -515.35 | -599.409 | -716.835 | -609.699 |
Čistý príjem pred extra. Položky | 1846.22 | 2827.4 | 2916.72 | 3887.38 | 2987.12 |
Čistý príjem | 1846.22 | 2827.4 | 2916.72 | 3887.38 | 2987.12 |
Príjem k dispozícii bežnému Extra. Položky | 1790.79 | 2811.15 | 2916.72 | 3887.38 | 2987.12 |
Príjem k dispozícii bežnému vr. Extra. Položky | 1790.79 | 2811.15 | 2916.72 | 3887.38 | 2987.12 |
Zriedený čistý príjem | 1790.79 | 2811.15 | 2916.72 | 3887.38 | 2987.12 |
Zriedený vážený priemer akcií | 6142.98 | 6142.98 | 6142.98 | 6142.98 | 6142.98 |
Zriedený EPS s výnimkou mimoriadnych položiek | 0.29152 | 0.45762 | 0.47481 | 0.63282 | 0.48627 |
Dividends per Share - Common Stock Primary Issue | 0.09 | 0.15 | 0.15 | 0.19 | 0.16 |
Zriedený normalizovaný EPS | 0.29152 | 0.50685 | 0.47481 | 0.63282 | 0.48627 |
Total Adjustments to Net Income | -55.431 | -16.255 |
- Výročný
- Štvrťročne
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Celkové aktíva | 45985.9 | 49229.7 | 38434.7 | 30209.7 | 29664.4 |
Hotovosť a krátkodobé investície | 10840.6 | 15274.2 | 10868.3 | 11765 | 14859.1 |
Cash | 10474.8 | 14236.5 | 9803.91 | 10817.6 | 7681.52 |
Hotovosť a ekvivalenty | 116.482 | 810.482 | 1056.78 | 925.172 | 4454.86 |
Krátkodobé investície | 249.368 | 227.219 | 7.585 | 22.18 | 2722.72 |
Pohľadávky celkom, netto | 27806.1 | 25115.4 | 18661 | 12374.3 | 9968.98 |
Accounts Receivable - Trade, Net | 27761.3 | 25018.3 | 18660 | 12366 | 9960.51 |
Total Inventory | 1014.43 | 1258.54 | 1059.14 | 823.528 | 658.759 |
Prepaid Expenses | 5160.92 | 7027.88 | 7008.52 | 4708.93 | 3062.15 |
Other Current Assets, Total | 1163.85 | 553.704 | 837.77 | 537.989 | 1115.38 |
Total Assets | 190598 | 200236 | 158187 | 119352 | 95121.6 |
Property/Plant/Equipment, Total - Net | 9851.14 | 9930.79 | 6937.17 | 5235.37 | 4410.1 |
Property/Plant/Equipment, Total - Gross | 12424.6 | 12118 | 8612.57 | 6439.56 | 5366.56 |
Accumulated Depreciation, Total | -2573.5 | -2187.23 | -1675.39 | -1204.19 | -956.463 |
Goodwill, Net | 1561.49 | 2353.69 | 2016.82 | 1908.78 | 1753.74 |
Intangibles, Net | 30794.6 | 30474.9 | 24926.6 | 18401.5 | 12643 |
Long Term Investments | 1924.98 | 1742.6 | 2401.13 | 2214.32 | 1215.81 |
Note Receivable - Long Term | 100104 | 106063 | 83223.8 | 61216.4 | 45128.7 |
Other Long Term Assets, Total | 376.031 | 440.77 | 246.945 | 165.319 | 305.957 |
Total Current Liabilities | 42813.1 | 39768.4 | 28905.8 | 24671.5 | 15234.4 |
Accounts Payable | 16251.5 | 20031.6 | 13936 | 11147.9 | 7829.51 |
Notes Payable/Short Term Debt | 0 | 0 | 0 | 0 | 0 |
Current Port. of LT Debt/Capital Leases | 20178.2 | 13940.7 | 10499.2 | 10468 | 4934.94 |
Other Current Liabilities, Total | 6383.38 | 5796.09 | 4470.65 | 3055.67 | 2469.94 |
Total Liabilities | 139768 | 148458 | 113125 | 83004.6 | 61195.5 |
Total Long Term Debt | 74546.3 | 85184.9 | 64479.7 | 42711.9 | 33591.2 |
Long Term Debt | 74479.7 | 85097.8 | 64422 | 42643 | 33566.4 |
Capital Lease Obligations | 66.617 | 87.113 | 57.76 | 68.868 | 24.841 |
Deferred Income Tax | 10105.9 | 10100.7 | 8339.45 | 6537.82 | 5301.41 |
Minority Interest | 11769.4 | 12564.7 | 10482.5 | 8379.63 | 6769.23 |
Other Liabilities, Total | 533.657 | 839.348 | 917.536 | 703.702 | 299.269 |
Total Equity | 50829.5 | 51777.5 | 45062.1 | 36346.9 | 33926.1 |
Common Stock | 17329.5 | 17329.5 | 17329.5 | 17329.5 | 17329.5 |
Retained Earnings (Accumulated Deficit) | 33969.2 | 31210.1 | 26556.7 | 22061 | 18363 |
Unrealized Gain (Loss) | 32.518 | -8.601 | 78.062 | 89.418 | 89.806 |
Other Equity, Total | -501.693 | 3246.42 | 1097.79 | -3133.04 | -1856.21 |
Total Liabilities & Shareholders’ Equity | 190598 | 200236 | 158187 | 119352 | 95121.6 |
Total Common Shares Outstanding | 6142.98 | 6142.98 | 6142.98 | 6142.98 | 6142.98 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Celkové aktíva | 45985.9 | 49586.9 | 49229.7 | 46538.1 | 38434.7 |
Hotovosť a krátkodobé investície | 10840.6 | 14372.9 | 15274.2 | 15037.1 | 10868.3 |
Cash | 10474.8 | 13588 | 14236.5 | 13822.3 | 9803.91 |
Hotovosť a ekvivalenty | 116.482 | 486.305 | 810.482 | 971.886 | 1056.78 |
Krátkodobé investície | 249.368 | 298.572 | 227.219 | 242.876 | 7.585 |
Pohľadávky celkom, netto | 27806.1 | 28204.5 | 25115.4 | 22935.2 | 18661 |
Accounts Receivable - Trade, Net | 27761.3 | 28080.2 | 25018.3 | 22933.1 | 18660 |
Total Inventory | 1014.43 | 1014.07 | 1258.54 | 1446.17 | 1059.14 |
Prepaid Expenses | 5160.92 | 5418.08 | 7027.88 | 6565.54 | 7008.52 |
Other Current Assets, Total | 1163.85 | 577.356 | 553.704 | 554.143 | 837.77 |
Total Assets | 190598 | 200012 | 200236 | 184513 | 158187 |
Property/Plant/Equipment, Total - Net | 9851.14 | 9658.2 | 9930.79 | 9037.42 | 6937.17 |
Goodwill, Net | 1561.49 | 1891.75 | 2353.69 | 2242.94 | 2016.82 |
Intangibles, Net | 30794.6 | 31341.5 | 30474.9 | 27237.5 | 24926.6 |
Long Term Investments | 1924.98 | 1954.05 | 1742.6 | 2075.59 | 2401.13 |
Note Receivable - Long Term | 100104 | 105196 | 106063 | 97076.3 | 83223.8 |
Other Long Term Assets, Total | 376.031 | 383.119 | 440.77 | 305.527 | 246.945 |
Total Current Liabilities | 42813.1 | 40140.8 | 39768.4 | 35327.9 | 28905.8 |
Accounts Payable | 16251.5 | 18824.2 | 20031.6 | 17577 | 13936 |
Notes Payable/Short Term Debt | 0 | 0 | 0 | 0 | 0 |
Current Port. of LT Debt/Capital Leases | 20178.2 | 16787.8 | 13940.7 | 12989.2 | 10499.2 |
Other Current Liabilities, Total | 6383.38 | 4528.78 | 5796.09 | 4761.7 | 4470.65 |
Total Liabilities | 139768 | 146193 | 148458 | 134955 | 113125 |
Total Long Term Debt | 74546.3 | 82750.2 | 85184.9 | 77381.4 | 64479.7 |
Long Term Debt | 74546.3 | 82750.2 | 85184.9 | 77381.4 | 64479.7 |
Deferred Income Tax | 10105.9 | 10250.2 | 10100.7 | 9364.69 | 8339.45 |
Minority Interest | 11769.4 | 12254.8 | 12564.7 | 11751.2 | 10482.5 |
Other Liabilities, Total | 533.657 | 797.033 | 839.348 | 1129.37 | 917.536 |
Total Equity | 50829.5 | 53818.8 | 51777.5 | 49558.8 | 45062.1 |
Common Stock | 17329.5 | 17329.5 | 17329.5 | 17329.5 | 17329.5 |
Retained Earnings (Accumulated Deficit) | 33969.2 | 33099.8 | 31210.1 | 29460.6 | 26556.7 |
Unrealized Gain (Loss) | 32.518 | 1.948 | -8.601 | 83.275 | 78.062 |
Other Equity, Total | -501.693 | 3387.45 | 3246.42 | 2685.46 | 1097.79 |
Total Liabilities & Shareholders’ Equity | 190598 | 200012 | 200236 | 184513 | 158187 |
Total Common Shares Outstanding | 6142.98 | 6142.98 | 6142.98 | 6142.98 | 6142.98 |
- Výročný
- Štvrťročne
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Čistý príjem/Počiatočná čiara | 7262.95 | 10320.6 | 9386.72 | 8263.7 | 6998.44 |
Hotovosť z prevádzkovej činnosti | 4009.29 | -1562.64 | -8185.97 | -7487.3 | -4365.58 |
Hotovosť z prevádzkovej činnosti | 716.964 | 577.35 | 445.036 | 358.199 | 274.156 |
Amortization | 1373.61 | 1049.61 | 740.592 | 504.782 | 340.972 |
Bezhotovostné položky | 3449.31 | 3339.65 | 3797.39 | 1079.62 | 792.001 |
Cash Taxes Paid | 418.048 | 1090.72 | 964.678 | 573.016 | 498.201 |
Úroky zaplatené v hotovosti | 3481.18 | 3043.42 | 2250.28 | 1804.96 | 1369.55 |
Zmeny pracovného kapitálu | -8793.54 | -16849.9 | -22555.7 | -17693.6 | -12771.2 |
Peniaze z investičných činností | -6135.69 | -10424.9 | -8246.12 | -5519.65 | -7497.88 |
Kapitálové výdavky | -1134.98 | -2148.75 | -1486.8 | -629.968 | -905.181 |
Ostatné investičné položky peňažných tokov, celkom | -5000.71 | -8276.18 | -6759.31 | -4889.68 | -6592.7 |
Hotovosť z finančných činností | -1149.59 | 15853.4 | 14966.3 | 12772.7 | 15652.1 |
Financovanie položiek peňažných tokov | -893.891 | -2815.36 | -2371.49 | -542.792 | -1209.06 |
Total Cash Dividends Paid | -1842.89 | -2150.04 | -1658.6 | -1535.74 | -1075.85 |
Vydanie (vyradenie) zásob, netto | 0 | 9961.58 | |||
Vydanie (vyradenie) dlhu, netto | 1587.19 | 20818.8 | 18996.4 | 14851.3 | 7975.46 |
Devízové efekty | -1179.71 | 320.451 | 583.691 | -159.347 | -309.485 |
Čistá zmena v hotovosti | -4455.7 | 4186.25 | -882.126 | -393.56 | 3479.19 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Net income/Starting Line | 7262.95 | 4326.09 | 10320.6 | 5983.99 | 9386.72 |
Cash From Operating Activities | 4009.29 | -934.931 | -1562.64 | -2839.54 | -8185.97 |
Cash From Operating Activities | 716.964 | 359.513 | 577.35 | 281.646 | 445.036 |
Amortization | 1373.61 | 677.685 | 1049.61 | 494.923 | 740.592 |
Non-Cash Items | 3449.31 | 2011.26 | 3339.65 | 1602.97 | 3797.39 |
Cash Taxes Paid | 418.048 | 497.461 | 1090.72 | 571.602 | 964.678 |
Cash Interest Paid | 3481.18 | 1734.43 | 3043.42 | 1328.53 | 2250.28 |
Changes in Working Capital | -8793.54 | -8309.48 | -16849.9 | -11203.1 | -22555.7 |
Cash From Investing Activities | -6135.69 | -3320.24 | -10424.9 | -5454.84 | -8246.12 |
Capital Expenditures | -1134.98 | -446.93 | -2148.75 | -1101.83 | -1486.8 |
Other Investing Cash Flow Items, Total | -5000.71 | -2873.31 | -8276.18 | -4353.01 | -6759.31 |
Cash From Financing Activities | -1149.59 | 3842.62 | 15853.4 | 11993.9 | 14966.3 |
Financing Cash Flow Items | -893.891 | 1523.89 | -2815.36 | -1157.61 | -2371.49 |
Total Cash Dividends Paid | -1842.89 | -921.446 | -2150.04 | -982.876 | -1658.6 |
Issuance (Retirement) of Stock, Net | |||||
Issuance (Retirement) of Debt, Net | 1587.19 | 3240.17 | 20818.8 | 14134.4 | 18996.4 |
Foreign Exchange Effects | -1179.71 | -560.055 | 320.451 | 233.98 | 583.691 |
Net Change in Cash | -4455.7 | -972.604 | 4186.25 | 3933.48 | -882.126 |
Meno investora | Typ investora | Percento vynikajúce | Držané akcie | Zmena akcií | Dátum držby | Hodnotenie obratu |
---|---|---|---|---|---|---|
China Everbright Holdings Co., Ltd. | Holding Company | 43.0774 | 2646233137 | 4121000 | 2022-12-21 | |
Pacific Asset Management Co., Ltd. | Investment Advisor | 5.0009 | 307202778 | 307202778 | 2023-02-28 | |
The Vanguard Group, Inc. | Investment Advisor/Hedge Fund | 1.9468 | 119591433 | 137000 | 2023-04-30 | LOW |
BlackRock Institutional Trust Company, N.A. | Investment Advisor | 1.3427 | 82479498 | -12000 | 2023-04-30 | LOW |
Amundi Asset Management, SAS | Investment Advisor/Hedge Fund | 1.1324 | 69560631 | 160000 | 2023-04-30 | MED |
KBI Global Investors Ltd. | Investment Advisor/Hedge Fund | 1.1151 | 68498762 | 56000 | 2023-03-31 | LOW |
Value Partners Ltd. | Investment Advisor/Hedge Fund | 0.7743 | 47564000 | 5140000 | 2023-01-31 | LOW |
CTBC Investments Co. Ltd. | Investment Advisor | 0.7166 | 44018000 | 16446000 | 2023-03-31 | MED |
Allianz Global Investors Asia Pacific Limited | Investment Advisor/Hedge Fund | 0.6883 | 42283738 | 0 | 2023-04-30 | MED |
Dimensional Fund Advisors, L.P. | Investment Advisor/Hedge Fund | 0.6828 | 41943702 | 0 | 2023-03-31 | LOW |
BlackRock Advisors (UK) Limited | Investment Advisor/Hedge Fund | 0.6264 | 38481583 | 499000 | 2023-04-30 | LOW |
CIM Investment Management Ltd. | Investment Advisor | 0.5575 | 34250000 | 0 | 2023-02-28 | LOW |
China Southern Asset Management Co. Ltd. | Investment Advisor | 0.3649 | 22415000 | 1960000 | 2022-12-31 | LOW |
ZhongGeng Fund Management Co., Ltd. | Investment Advisor | 0.32 | 19656000 | 2740000 | 2022-06-30 | MED |
Norges Bank Investment Management (NBIM) | Sovereign Wealth Fund | 0.3147 | 19330602 | -24695084 | 2022-12-31 | LOW |
Charles Schwab Investment Management, Inc. | Investment Advisor | 0.3041 | 18681954 | 71027 | 2023-04-30 | LOW |
State Street Global Advisors (US) | Investment Advisor/Hedge Fund | 0.2652 | 16289483 | 81000 | 2023-04-30 | LOW |
Geode Capital Management, L.L.C. | Investment Advisor/Hedge Fund | 0.2468 | 15162624 | 468000 | 2023-03-31 | LOW |
Swedbank Robur Fonder AB | Investment Advisor/Hedge Fund | 0.2137 | 13125000 | 0 | 2023-04-30 | LOW |
Nordea Investment Management AB (Denmark) | Investment Advisor | 0.2118 | 13011943 | -76000 | 2023-04-30 | MED |
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China Everbright Company profile
O spoločnosti China Everbright International Limited
China Everbright Environment Group Ltd, predtým China Everbright International Ltd, je investičná holdingová spoločnosť, ktorá sa zaoberá najmä podnikaním v oblasti energetiky a infraštruktúry. Spoločnosť prevádzkuje svoje činnosti prostredníctvom štyroch segmentov. Segment výstavby a prevádzky environmentálnych energetických projektov sa zaoberá výstavbou a prevádzkou zariadení na výrobu energie z odpadu, projektov spracovania potravinového odpadu, projektov spracovania a likvidácie kalov a iných. Segment Greentech Project Construction and Operation sa zaoberá výstavbou a prevádzkou projektov integrovaného využívania biomasy a iných. Segment Environmental Water Project Construction and Operation sa zaoberá výstavbou, modernizáciou a prevádzkou zariadení na spracovanie odpadu a iných projektov. Segment Ostatné sa zaoberá výskumom a vývojom technológií na ochranu životného prostredia, poskytovaním technologických služieb súvisiacich s ochranou životného prostredia a ďalšími činnosťami.
Industry: | Multiline Utilities |
夏愨道16號遠東金融中心27樓2703室
HK
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