Obchod GFL Environmental Inc - GFL CFD
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Rozpätie | 0.32 | ||||||||
Nočný poplatok dlhej pozície
Long position overnight fee
Prejsť na platformu | -0.025457% | ||||||||
Nočný poplatok krátkej pozície
Short position overnight fee
Prejsť na platformu | 0.003235% | ||||||||
Nočný poplatok | 21:00 (UTC) | ||||||||
Minimálne množstvo na obchodovanie | 1 | ||||||||
Mena | USD | ||||||||
Marža | 20% | ||||||||
Burza cenných papierov | United States of America | ||||||||
Provízia pri predaji | 0% |
*Information provided by Capital.com
GFL Environmental Inc ESG Risk Ratings
‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.
Predchádzajúce Zavrieť* | 36.76 |
Otvoriť* | 36.9 |
1-ročná zmena* | 21.1% |
Denný rozsah* | 36.39 - 37.19 |
Rozsah 52 týždňov | 31.57-51.57 |
Priemerný objem (10 dní) | 606.11K |
Priemerný objem (3 mesiace) | 7.35M |
Trhová kapitalizácia | 18.21B |
Pomer P/E | -100.00K |
Zdieľa mimoriadne | 369.15M |
Výnosy | 7.16B |
EPS | -1.53 |
Dividenda (udalosť %) | 0.14087 |
Beta | -100.00K |
Ďalší dátum zárobku | Jul 25, 2023 |
Všetky údaje poskytuje spoločnosť Refinitiv, okrem údajov označených hviezdičkou, čo sú *údaje poskytnuté Capital.com
- Last Week
- Last Month
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- Max
- Daily
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- Monthly
Date | Zatvorenie | Change | Change (%) | Otvorenie | High | Low |
---|---|---|---|---|---|---|
Jun 9, 2023 | 37.10 | 0.25 | 0.68% | 36.85 | 37.22 | 36.33 |
Jun 8, 2023 | 36.76 | 0.24 | 0.66% | 36.52 | 37.21 | 36.33 |
Jun 7, 2023 | 36.64 | -0.46 | -1.24% | 37.10 | 37.28 | 36.20 |
Jun 6, 2023 | 37.09 | -0.17 | -0.46% | 37.26 | 37.95 | 37.04 |
Jun 5, 2023 | 37.40 | -0.03 | -0.08% | 37.43 | 37.96 | 37.26 |
Jun 2, 2023 | 37.35 | 0.44 | 1.19% | 36.91 | 37.96 | 36.69 |
Jun 1, 2023 | 36.76 | 0.74 | 2.05% | 36.02 | 36.93 | 35.60 |
May 31, 2023 | 36.11 | -0.48 | -1.31% | 36.59 | 36.87 | 35.90 |
May 30, 2023 | 36.71 | -0.04 | -0.11% | 36.75 | 37.13 | 36.46 |
May 26, 2023 | 36.46 | 0.10 | 0.28% | 36.36 | 36.74 | 36.33 |
May 25, 2023 | 36.25 | 0.01 | 0.03% | 36.24 | 36.53 | 36.00 |
May 24, 2023 | 36.18 | -0.19 | -0.52% | 36.37 | 36.52 | 35.94 |
May 23, 2023 | 36.67 | -0.03 | -0.08% | 36.70 | 37.10 | 36.40 |
May 22, 2023 | 36.93 | 0.25 | 0.68% | 36.68 | 37.40 | 36.68 |
May 19, 2023 | 37.18 | -0.04 | -0.11% | 37.22 | 37.47 | 36.92 |
May 18, 2023 | 37.21 | 1.42 | 3.97% | 35.79 | 37.32 | 35.40 |
May 17, 2023 | 37.29 | -0.15 | -0.40% | 37.44 | 37.51 | 36.78 |
May 16, 2023 | 37.39 | 0.00 | 0.00% | 37.39 | 37.71 | 36.94 |
May 15, 2023 | 37.42 | -0.21 | -0.56% | 37.63 | 37.99 | 37.30 |
May 12, 2023 | 37.63 | -0.20 | -0.53% | 37.83 | 38.08 | 37.16 |
GFL Environmental Inc Events
Čas (UTC) (UTC) | Krajina | Udalosť |
---|---|---|
Tuesday, July 25, 2023 | ||
Čas (UTC) (UTC) 20:00 | Krajina CA
| Udalosť Q2 2023 GFL Environmental Inc Earnings Release Q2 2023 GFL Environmental Inc Earnings ReleaseForecast -Previous - |
Tuesday, October 31, 2023 | ||
Čas (UTC) (UTC) 10:59 | Krajina CA
| Udalosť Q3 2023 GFL Environmental Inc Earnings Release Q3 2023 GFL Environmental Inc Earnings ReleaseForecast -Previous - |
- Výročný
- Štvrťročne
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Celkové príjmy | 6761.3 | 5525.5 | 4196.2 | 3346.85 | 1852.59 |
Výnosy | 6761.3 | 5525.5 | 4196.2 | 3346.85 | 1852.59 |
Náklady na výnosy, celkom | 5963.7 | 4997.9 | 4006.1 | 3036.7 | 1681.79 |
Hrubý zisk | 797.6 | 527.6 | 190.1 | 310.151 | 170.8 |
Celkové prevádzkové náklady | 6696.4 | 5436.5 | 4669.1 | 3469.6 | 2047.65 |
Predaj/Všeobecné/Správca. Náklady, Celkom | 701.3 | 562 | 482.9 | 307.936 | 188.672 |
Depreciation / Amortization | 29.1 | 29.9 | 25.5 | 23.067 | 9.291 |
Prevádzkový príjem | 64.9 | 89 | -472.9 | -122.752 | -195.063 |
Úrokový príjem (výdavky), čistý neprevádzkový | -371.1 | -712.3 | -748.2 | -433.461 | -318.156 |
Gain (Loss) on Sale of Assets | -4.7 | -1.9 | -4.6 | -1.188 | -4.632 |
Iné, Net | -48.4 | -87.6 | -130.1 | -51.82 | -106.401 |
Čistý príjem pred zdanením | -359.3 | -712.8 | -1355.8 | -609.221 | -624.252 |
Čistý príjem po zdanení | -183.2 | -606.8 | -1102.4 | -451.653 | -483.336 |
Čistý príjem pred extra. Položky | -183.9 | -606.8 | -1102.4 | -451.653 | -483.336 |
Čistý príjem | -311.8 | -606.8 | -1102.4 | -451.653 | -483.336 |
Príjem k dispozícii bežnému Extra. Položky | -183.9 | -606.8 | -1102.4 | -451.653 | -483.336 |
Príjem k dispozícii bežnému vr. Extra. Položky | -311.8 | -606.8 | -1102.4 | -451.653 | -483.336 |
Zriedený čistý príjem | -311.8 | -606.8 | -1102.4 | -451.653 | -483.336 |
Zriedený vážený priemer akcií | 367.171 | 361.566 | 360.383 | 326.421 | 326.421 |
Zriedený EPS s výnimkou mimoriadnych položiek | -0.50086 | -1.67826 | -3.05897 | -1.38365 | -1.48071 |
Dividends per Share - Common Stock Primary Issue | 0.06504 | 0.05559 | 0.05092 | 0 | 0 |
Zriedený normalizovaný EPS | -0.34542 | -1.78989 | -2.55954 | -0.91252 | -1.13715 |
Nezvyčajné výdavky (príjem) | 2.3 | -153.3 | 154.6 | 101.9 | 167.9 |
Celkom mimoriadne položky | -127.9 | ||||
Menšinový záujem | -0.7 |
Mar 2023 | Dec 2022 | Sep 2022 | Jun 2022 | Mar 2022 | |
---|---|---|---|---|---|
Celkové príjmy | 1799.1 | 1821.2 | 1831.2 | 1707.5 | 1401.4 |
Výnosy | 1799.1 | 1821.2 | 1831.2 | 1707.5 | 1401.4 |
Náklady na výnosy, celkom | 1554.6 | 1624.2 | 1591.9 | 1482 | 1265.6 |
Hrubý zisk | 244.5 | 197 | 239.3 | 225.5 | 135.8 |
Celkové prevádzkové náklady | 1772.3 | 1820.7 | 1784.4 | 1669.5 | 1421.8 |
Predaj/Všeobecné/Správca. Náklady, Celkom | 207.9 | 195.1 | 180.4 | 171 | 154.8 |
Depreciation / Amortization | 6.6 | 6.7 | 7.1 | 7.4 | 7.9 |
Nezvyčajné výdavky (príjem) | 3.2 | -5.3 | 5 | 9.1 | -6.5 |
Prevádzkový príjem | 26.8 | 0.5 | 46.8 | 38 | -20.4 |
Úrokový príjem (výdavky), čistý neprevádzkový | -270.7 | -222.3 | -298.3 | 4 | 145.5 |
Gain (Loss) on Sale of Assets | -0.1 | -14.8 | 5.7 | 2.6 | 1.8 |
Iné, Net | -15.9 | -13.1 | -13.7 | -9.9 | -11.7 |
Čistý príjem pred zdanením | -259.9 | -249.7 | -259.5 | 34.7 | 115.2 |
Čistý príjem po zdanení | -217.8 | -219.1 | -183.7 | 82.6 | 137 |
Čistý príjem pred extra. Položky | -219.4 | -220 | -183.5 | 82.6 | 137 |
Celkom mimoriadne položky | 0 | 0 | 0 | -18.3 | -109.6 |
Čistý príjem | -219.4 | -220 | -183.5 | 64.3 | 27.4 |
Príjem k dispozícii bežnému Extra. Položky | -242.1 | -220 | -183.5 | 82.6 | 137 |
Príjem k dispozícii bežnému vr. Extra. Položky | -242.1 | -220 | -183.5 | 64.3 | 27.4 |
Zriedený čistý príjem | -242.1 | -220 | -183.5 | 64.3 | 27.4 |
Zriedený vážený priemer akcií | 369.176 | 369.119 | 368.628 | 368.707 | 366.55 |
Zriedený EPS s výnimkou mimoriadnych položiek | -0.65578 | -0.59601 | -0.49779 | 0.22403 | 0.37376 |
Dividends per Share - Common Stock Primary Issue | 0.01757 | 0.01626 | 0.01659 | 0.01545 | 0.015 |
Zriedený normalizovaný EPS | -0.62022 | -0.53667 | -0.46394 | 0.26845 | 0.39096 |
Menšinový záujem | -1.6 | -0.9 | 0.2 | ||
Total Adjustments to Net Income | -22.7 |
- Výročný
- Štvrťročne
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Celkové aktíva | 1383.1 | 1495.7 | 1028.2 | 1420.27 | 681.148 |
Hotovosť a krátkodobé investície | 82.1 | 190.4 | 27.2 | 574.797 | 7.445 |
Cash | 82.1 | 190.4 | 27.2 | 574.797 | 7.445 |
Pohľadávky celkom, netto | 1118.1 | 1134.7 | 867.3 | 713.356 | 574.729 |
Accounts Receivable - Trade, Net | 1118.1 | 1134.7 | 867.3 | 713.356 | 574.729 |
Total Inventory | 84.2 | 82 | 57.4 | 50.507 | 42.393 |
Prepaid Expenses | 98.7 | 88.6 | 76.3 | 81.605 | 56.581 |
Other Current Assets, Total | |||||
Total Assets | 19767.6 | 18373.7 | 15730 | 12323.8 | 11071.6 |
Property/Plant/Equipment, Total - Net | 6540.3 | 6010.6 | 5074.8 | 2850.06 | 2436.35 |
Property/Plant/Equipment, Total - Gross | 9405.4 | 7918 | 6190 | 3431.76 | 2576.09 |
Accumulated Depreciation, Total | -2865.1 | -1907.4 | -1115.2 | -581.703 | -139.747 |
Goodwill, Net | 8182.4 | 7501.1 | 6500.4 | 5173.78 | 4979.3 |
Intangibles, Net | 3245 | 3330 | 3093.4 | 2848.02 | 2940.3 |
Note Receivable - Long Term | 0 | 1.2 | |||
Other Long Term Assets, Total | 90.2 | 36.3 | 33.2 | 31.672 | 33.336 |
Total Current Liabilities | 2692.1 | 1522.4 | 1193.3 | 865.085 | 681.373 |
Payable/Accrued | 1557.7 | 1319.7 | 1014.8 | 732.041 | 606.237 |
Notes Payable/Short Term Debt | 0 | 0 | 0 | 0 | 0 |
Current Port. of LT Debt/Capital Leases | 69.4 | 68.1 | 42.1 | 97.535 | 53.66 |
Other Current Liabilities, Total | 1065 | 134.6 | 136.4 | 35.509 | 21.476 |
Total Liabilities | 13730.4 | 12597.6 | 10050.7 | 9555.87 | 7879.02 |
Total Long Term Debt | 9576.2 | 8219.2 | 6315.2 | 7719.53 | 6235 |
Long Term Debt | 9248.9 | 7961.8 | 6161.5 | 7560.66 | 6235 |
Deferred Income Tax | 582.6 | 723.9 | 466 | 733.787 | 759.139 |
Other Liabilities, Total | 872.6 | 2132.1 | 2076.2 | 237.466 | 203.503 |
Total Equity | 6037.2 | 5776.1 | 5679.3 | 2767.93 | 3192.61 |
Common Stock | 8640.3 | 8462.9 | 7644.8 | 3524.53 | 3470.36 |
Additional Paid-In Capital | 109.6 | 77.4 | 54.3 | 16.443 | 1.96 |
Retained Earnings (Accumulated Deficit) | -2843 | -2510.5 | -1778.3 | -770.316 | -318.663 |
Other Equity, Total | 130.3 | -253.7 | -241.5 | -2.726 | 38.955 |
Total Liabilities & Shareholders’ Equity | 19767.6 | 18373.7 | 15730 | 12323.8 | 11071.6 |
Total Common Shares Outstanding | 343.443 | 338.293 | 326.363 | 326.421 | 326.421 |
Capital Lease Obligations | 327.3 | 257.4 | 153.7 | 158.872 | 0 |
Total Preferred Shares Outstanding | 36.7682 | 36.7682 | |||
Long Term Investments | 326.6 | ||||
Minority Interest | 6.9 |
Mar 2023 | Dec 2022 | Sep 2022 | Jun 2022 | Mar 2022 | |
---|---|---|---|---|---|
Celkové aktíva | 2318.6 | 1383.1 | 1637.9 | 1519 | 1758.8 |
Hotovosť a krátkodobé investície | 73 | 82.1 | 237.4 | 230.6 | 189.3 |
Cash | 73 | 82.1 | 237.4 | 230.6 | 189.3 |
Pohľadávky celkom, netto | 1021.6 | 1118.1 | 1211.5 | 1093.6 | 844.6 |
Accounts Receivable - Trade, Net | 1021.6 | 1118.1 | 1211.5 | 1093.6 | 844.6 |
Prepaid Expenses | 202.4 | 182.9 | 189 | 194.8 | 152.6 |
Total Assets | 19830.2 | 19767.6 | 20014.4 | 19112 | 17942.5 |
Property/Plant/Equipment, Total - Net | 6401.1 | 6540.3 | 6538.8 | 6047.1 | 5656.2 |
Property/Plant/Equipment, Total - Gross | 9350.8 | 9405.4 | 9184 | 8339.4 | 7659.5 |
Accumulated Depreciation, Total | -2949.7 | -2865.1 | -2645.2 | -2292.3 | -2003.3 |
Goodwill, Net | 7603.3 | 8182.4 | 8184.9 | 7814.1 | 7295.9 |
Intangibles, Net | 3125.8 | 3245 | 3290.6 | 3395.3 | 3174.4 |
Other Long Term Assets, Total | 71.2 | 90.2 | 40.6 | 38.5 | 35.9 |
Total Current Liabilities | 1549.5 | 2692.1 | 2546.6 | 2401.5 | 2443 |
Payable/Accrued | 1380 | 1557.7 | 1496 | 1371.9 | 1119 |
Notes Payable/Short Term Debt | 0 | 0 | 0 | 0 | 0 |
Current Port. of LT Debt/Capital Leases | 70.8 | 69.4 | 69.5 | 66.8 | 63.9 |
Other Current Liabilities, Total | 98.7 | 1065 | 981.1 | 962.8 | 1260.1 |
Total Liabilities | 12891.1 | 13730.4 | 13698.8 | 12967.8 | 12244 |
Total Long Term Debt | 9879.6 | 9576.2 | 9695.6 | 9061.3 | 8285.5 |
Long Term Debt | 9554.7 | 9248.9 | 9358.5 | 8773 | 8000.1 |
Capital Lease Obligations | 324.9 | 327.3 | 337.1 | 288.3 | 285.4 |
Deferred Income Tax | 541.7 | 582.6 | 593.3 | 646.8 | 653.4 |
Other Liabilities, Total | 903.8 | 872.6 | 857.3 | 858.2 | 862.1 |
Total Equity | 6939.1 | 6037.2 | 6315.6 | 6144.2 | 5698.5 |
Common Stock | 9754.1 | 8640.3 | 8638.8 | 8621.2 | 8463.2 |
Additional Paid-In Capital | 120.7 | 109.6 | 96 | 99.7 | 90.6 |
Retained Earnings (Accumulated Deficit) | -3068 | -2843 | -2617.4 | -2428.5 | -2487.8 |
Other Equity, Total | 132.3 | 130.3 | 198.2 | -148.2 | -367.5 |
Total Liabilities & Shareholders’ Equity | 19830.2 | 19767.6 | 20014.4 | 19112 | 17942.5 |
Total Common Shares Outstanding | 369.153 | 343.443 | 343.404 | 342.87 | 338.3 |
Total Preferred Shares Outstanding | 36.7682 | 36.7682 | 36.7682 | 36.7682 | 36.7682 |
Other Current Assets, Total | 1021.6 | 572.3 | |||
Long Term Investments | 310.2 | 326.6 | 321.6 | 298 | 21.3 |
Minority Interest | 16.5 | 6.9 | 6 |
- Výročný
- Štvrťročne
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Čistý príjem/Počiatočná čiara | -311.1 | -606.8 | -994.9 | -451.653 | -483.336 |
Hotovosť z prevádzkovej činnosti | 1096.3 | 897.9 | 502.2 | 251 | 19.384 |
Hotovosť z prevádzkovej činnosti | 1000.9 | 876.9 | 810.6 | 465.338 | 244.519 |
Amortization | 516.8 | 461.2 | 427 | 334.124 | 168.407 |
Deferred Taxes | -175.6 | -129.9 | -362.2 | -160.641 | -143.99 |
Bezhotovostné položky | 617.9 | 681.3 | 633.9 | 158.15 | 232.139 |
Cash Taxes Paid | 24.4 | 11 | -4.3 | 0.261 | -3.338 |
Zmeny pracovného kapitálu | -552.6 | -384.8 | -12.2 | -94.318 | 1.645 |
Peniaze z investičných činností | -1734.2 | -2687.2 | -4353.5 | -1166.87 | -7177.83 |
Kapitálové výdavky | -780.1 | -647.2 | -428.3 | -457.79 | -212.536 |
Ostatné investičné položky peňažných tokov, celkom | -954.1 | -2040 | -3925.2 | -709.084 | -6965.3 |
Hotovosť z finančných činností | 569 | 1964.7 | 3338.3 | 1479.04 | 7151.79 |
Financovanie položiek peňažných tokov | -21.2 | -54.2 | 934.8 | -20.691 | -106.085 |
Vydanie (vyradenie) zásob, netto | 0 | 372.5 | 4041.9 | -5.761 | 3587.07 |
Vydanie (vyradenie) dlhu, netto | 610.9 | 1664.3 | -1625.3 | 1505.49 | 3670.81 |
Devízové efekty | -39.4 | -12.2 | -34.6 | 4.185 | 14.094 |
Čistá zmena v hotovosti | -108.3 | 163.2 | -547.6 | 567.352 | 7.435 |
Úroky zaplatené v hotovosti | 417.9 | 321.2 | 41 | 106.085 | |
Total Cash Dividends Paid | -20.7 | -17.9 | -13.1 |
Mar 2023 | Dec 2022 | Sep 2022 | Jun 2022 | Mar 2022 | |
---|---|---|---|---|---|
Net income/Starting Line | -217.8 | -311.1 | -92 | 91.7 | 27.4 |
Cash From Operating Activities | 192.5 | 1096.3 | 693.3 | 407.2 | 176 |
Cash From Operating Activities | 239.8 | 1000.9 | 729 | 468 | 229.3 |
Amortization | 138.8 | 516.8 | 383.3 | 259.1 | 125.7 |
Deferred Taxes | -49.3 | -175.6 | -154.9 | -82.5 | -30.6 |
Non-Cash Items | 312.9 | 617.9 | 368.9 | 43.6 | -6 |
Changes in Working Capital | -231.9 | -552.6 | -541 | -372.7 | -169.8 |
Cash From Investing Activities | -481.7 | -1734.2 | -1329.9 | -995.2 | -190.6 |
Capital Expenditures | -272.9 | -780.1 | -542.8 | -332.2 | -203.2 |
Other Investing Cash Flow Items, Total | -208.8 | -954.1 | -787.1 | -663 | 12.6 |
Cash From Financing Activities | 286.8 | 569 | 719.5 | 651.8 | 19.6 |
Financing Cash Flow Items | 8.8 | -21.2 | -15.7 | -12.1 | -10.3 |
Total Cash Dividends Paid | -5.6 | -20.7 | -15.1 | -9.7 | -4.7 |
Issuance (Retirement) of Stock, Net | 0 | ||||
Issuance (Retirement) of Debt, Net | 283.6 | 610.9 | 750.3 | 673.6 | 34.6 |
Foreign Exchange Effects | -6.7 | -39.4 | -35.9 | -23.6 | -6.1 |
Net Change in Cash | -9.1 | -108.3 | 47 | 40.2 | -1.1 |
Cash Taxes Paid | 2 | 24.4 | 22.1 | 19.5 | 0.4 |
Cash Interest Paid | 175.3 | 417.9 | 301.2 | 186.9 | 97 |
Meno investora | Typ investora | Percento vynikajúce | Držané akcie | Zmena akcií | Dátum držby | Hodnotenie obratu |
---|---|---|---|---|---|---|
BC Partners Advisors L.P. | Investment Advisor | 31.2279 | 111590408 | 57806241 | 2023-04-03 | MED |
Ontario Teachers' Pension Plan Board | Pension Fund | 12.2182 | 43660872 | 0 | 2023-04-03 | MED |
GIC Private Limited | Sovereign Wealth Fund | 7.4957 | 26785279 | 211552 | 2022-12-31 | LOW |
Fidelity Management & Research Company LLC | Investment Advisor | 6.6245 | 23672316 | 7973889 | 2023-03-31 | LOW |
Poole (Ven) | Individual Investor | 2.9848 | 10665830 | 0 | 2023-04-03 | LOW |
Morgan Stanley Investment Management Inc. (US) | Investment Advisor/Hedge Fund | 1.9885 | 7105692 | -514250 | 2023-03-31 | LOW |
MFS Investment Management | Investment Advisor/Hedge Fund | 1.9541 | 6982873 | 171974 | 2023-03-31 | LOW |
Nordea Funds Oy | Investment Advisor | 1.7602 | 6290004 | -41283 | 2023-03-31 | LOW |
Norges Bank Investment Management (NBIM) | Sovereign Wealth Fund | 1.652 | 5903457 | 326415 | 2022-12-31 | LOW |
Pictet Asset Management Ltd. | Investment Advisor/Hedge Fund | 1.5148 | 5413153 | -1040841 | 2023-03-31 | LOW |
Nordea Investment Management AB (Denmark) | Investment Advisor | 1.5059 | 5381345 | 0 | 2023-04-30 | MED |
The Vanguard Group, Inc. | Investment Advisor/Hedge Fund | 1.4619 | 5224165 | 33779 | 2023-03-31 | LOW |
RBC Dominion Securities, Inc. | Investment Advisor | 1.2957 | 4630231 | 495928 | 2023-03-31 | LOW |
American Century Investment Management, Inc. | Investment Advisor/Hedge Fund | 1.1156 | 3986346 | -34661 | 2023-03-31 | LOW |
Clarkston Capital Partners, LLC | Investment Advisor | 1.0442 | 3731477 | 406581 | 2023-03-31 | LOW |
Fred Alger Management, LLC | Investment Advisor/Hedge Fund | 1.0012 | 3577656 | 3409321 | 2023-03-31 | MED |
Samlyn Capital, LLC | Hedge Fund | 0.7869 | 2811787 | -1589938 | 2023-03-31 | HIGH |
Templeton Investment Counsel, L.L.C. | Investment Advisor/Hedge Fund | 0.7632 | 2727406 | 166159 | 2023-03-31 | LOW |
Capital Research Global Investors | Investment Advisor | 0.6956 | 2485774 | 885774 | 2023-03-31 | LOW |
CIBC Asset Management Inc. | Investment Advisor | 0.6464 | 2309817 | 41865 | 2023-03-31 | LOW |
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GFL Environmental Company profile
O spoločnosti GFL Environmental Inc
GFL Environmental Inc. je kanadská spoločnosť poskytujúca diverzifikované environmentálne služby. Spoločnosť sa zaoberá poskytovaním služieb v oblasti nakladania s pevným odpadom, ktorý nie je nebezpečný, služieb v oblasti infraštruktúry a sanácie pôdy a služieb v oblasti nakladania s kvapalným odpadom. Medzi jej segmenty patria tuhý odpad, ktorý zahŕňa odvoz, skládky, transfery a zariadenia na zhodnocovanie materiálov; infraštruktúra a sanácia pôdy a tekutý odpad. Segment infraštruktúry a sanácie pôdy ponúka bezpečné, integrované služby, ktoré sa poskytujú ako prvé na mieste pre potreby rozvoja infraštruktúry alebo výstavby. Ponúka tiež bioremediáciu kontaminovanej pôdy ex-situ a zabezpečuje výkop a prepravu pôdy do jedného zo svojich licencovaných remediačných zariadení. Jej segment Tekutý odpad ponúka služby v oblasti automobilových odpadových kvapalín, služby vákuových vozidiel a hydrovaku, služby v oblasti nakladania s nebezpečným odpadom, havarijnú odozvu a sanáciu lokalít a špecializované služby a priemyselné čistenie.
Industry: | Waste Management, Disposal & Recycling Services |
100 New Park Place #500
L4K 0H9
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