CFD-ji (pogodbe za razliko) so kompleksni instrumenti in so zaradi uporabe finančnega vzvoda povezani z visokim tveganjem za hitro izgubo denarja. 84% vlagateljev izgubi denar, ko trguje s CFD-ji pri tem ponudniku. Razmisliti morate, ali razumete, kako delujejo CFD-ji in ali si lahko privoščite tako visoko tveganje za izgubo svojega denarja.

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Trgovina AVON RUBBER PLC ORD #1 - AVON CFD

9.750
1.12%
  • Povzetek
  • Zgodovinski podatki
  • Dogodki
  • Izkaz poslovnega izida
  • Bilanca stanja
  • Denarni tok
  • Lastništvo
Pogoji trgovanja
Razmik 0.115
Nočna pristojbina za nakup

Long position overnight fee


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

Pojdi na platformo
-0.028007%
Nočna pristojbina za prodajo

Short position overnight fee


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

Pojdi na platformo
-0.015829%
Čas nočne pristojbine 22:00 (UTC)
Min. tržena količina 1
Valuta GBP
Kritje 20%
Borza United Kingdom of Great Britain and Northern Ireland
Provizija na trgovanje 0%

*Information provided by Capital.com

Ključni statistični podatki
Predhodno. Zapri* 9.85
Odpri* 9.855
Enoletna sprememba* 0.87%
Dnevni razpon* 9.615 - 9.855
Razpon 52 wk 7.32-14.04
Povprečni obseg (10 dni) 24.29K
Povprečni obseg (3 meseci) 954.91K
Tržna kapitalizacija 294.38M
Razmerje P/E -100.00K
Število delnic v obtoku 31.02M
Prihodki 225.79M
EPS -0.15
Dividenda (donosnost v %) 3.9267
Beta 0.30
Datum naslednjega zaslužka May 22, 2023

Vse podatke je zagotovil Refinitiv, razen podatkov, označenih z zvezdico, ki so *podatki, ki jih je zagotovil Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Zapiranje Change Change (%) Odpiranje High Low
Jun 30, 2022 9.750 0.050 0.52% 9.700 9.880 9.365
Jun 29, 2022 9.850 -0.300 -2.96% 10.150 10.370 9.810
Jun 28, 2022 10.280 -0.220 -2.10% 10.500 10.850 10.065
Jun 27, 2022 10.370 -0.080 -0.77% 10.450 10.710 10.260
Jun 24, 2022 10.455 0.375 3.72% 10.080 10.605 9.930
Jun 23, 2022 10.270 0.315 3.16% 9.955 10.350 9.930
Jun 22, 2022 10.040 0.265 2.71% 9.775 10.175 9.660
Jun 21, 2022 9.950 0.320 3.32% 9.630 10.220 9.630
Jun 20, 2022 10.045 0.565 5.96% 9.480 10.090 9.460
Jun 17, 2022 9.570 0.505 5.57% 9.065 9.750 9.055
Jun 16, 2022 9.500 -0.495 -4.95% 9.995 10.050 9.300
Jun 15, 2022 9.955 0.135 1.37% 9.820 10.065 9.740
Jun 14, 2022 9.910 -0.130 -1.29% 10.040 10.090 9.695
Jun 13, 2022 10.080 -0.390 -3.72% 10.470 10.770 10.025
Jun 10, 2022 10.875 0.125 1.16% 10.750 10.995 10.680
Jun 9, 2022 11.030 0.090 0.82% 10.940 11.225 10.935
Jun 8, 2022 11.010 -0.010 -0.09% 11.020 11.440 10.935
Jun 7, 2022 11.310 0.120 1.07% 11.190 11.415 11.045
Jun 6, 2022 11.240 0.180 1.63% 11.060 11.375 10.920
Jun 1, 2022 10.990 -0.710 -6.07% 11.700 11.710 10.915

AVON RUBBER PLC ORD #1 Events

Time (UTC) Country Event
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  • Letni
  • Četrtletno
2016 2017 2018 2019 2020 2021
Skupni prihodki 175.348 195.371 203.102 157.573 213.6 248.3
Prihodki 175.348 195.371 203.102 157.573 213.6 248.3
Celotni stroški prihodkov 110.644 119.775 122.598 96.4583 130.1 167.8
Bruto dobiček 64.7044 75.5958 80.5046 61.1148 83.5 80.5
Celotni odhodki iz poslovanja 154.5 171.931 176.472 145.424 204.7 277.3
Celotna prodaja/splošni/upravni stroški Odhodki 37.9967 43.5658 47.0019 48.9655 52.7 60.9
Depreciation / Amortization 4.05837 3.68161 3.80433 8.3 14.2
Nenavadni odhodki (prihodki) 1.80154 4.90882 3.06801 13.6 34.4
Other Operating Expenses, Total 0
Prihodki iz poslovanja 20.8478 23.4396 26.6303 12.1493 8.9 -29
Prihodki (odhodki) od obresti, neto Neoperativni -0.229487 -0.245441 -0.12272 -0.490882 -2.4 -3.1
Čisti dobiček pred obdavčitvijo 20.6183 23.1942 26.5076 10.6767 2.2 -35.6
Čisti dobiček po davkih 22.8567 26.7531 24.2987 12.5175 3.8 -24.5
Čisti dobiček pred dodatnimi postavkami 22.8567 26.7531 24.2987 12.5175 3.8 -24.5
Skupaj izredne postavke -0.424613 -0.368161 1.96353 4.7861 167.6 -1.1
Čisti dobiček 22.4321 26.3849 26.2622 17.3036 171.4 -25.6
Prihodek, ki je na razpolago navadnim delničarjem, brez dodatnih postavk 22.8567 26.7531 24.2987 12.5175 3.8 -24.5
Prihodek, ki je na razpolago skupnemu dobičku, vključno z dodatnimi postavkami 22.4321 26.3849 26.2622 17.3036 171.4 -25.6
Prilagoditev za redčenje 0 0
Popravljen čisti dobiček 22.4321 26.3849 26.2622 17.3036 171.4 -25.6
Popravljene ponderirane povprečne delnice 30.888 30.62 30.729 30.776 30.999 30.669
Popravljen dobiček na delnico brez upoštevanja izrednih postavk 0.73998 0.873708 0.790737 0.406732 0.12258 -0.79885
Dividends per Share - Common Stock Primary Issue 0.116339 0.151192 0.196598 0.255627 0.34977 0.44264
Popravljen normalizirani dobiček na enoto čistega dobička 0.764696 1.16629 0.96646 1.04992 0.80325 0.70103
Drugo, neto -0.981764 -4.3 -3.5
Q2 2020 Q4 2020 Q2 2021 Q4 2021 Q2 2022
Skupni prihodki 86.5 127.1 122 126.3 121.9
Prihodki 86.5 127.1 122 126.3 121.9
Celotni stroški prihodkov 54.4 75.7 81.1 88.4 87.6
Bruto dobiček 32.1 51.4 40.9 37.9 34.3
Celotni odhodki iz poslovanja 86.8 117.9 115.8 161.5 132.6
Celotna prodaja/splošni/upravni stroški Odhodki 32.4 42.2 34.7 73.1 45
Prihodki iz poslovanja -0.3 9.2 6.2 -35.2 -10.7
Prihodki (odhodki) od obresti, neto Neoperativni -1 -1.4 -1.2 -1.9 -1.3
Drugo, neto -0.5 -3.8 0.4 -3.9 -1.6
Čisti dobiček pred obdavčitvijo -1.8 4 5.4 -41 -13.6
Čisti dobiček po davkih -1.9 5.7 4.4 -28.9 -10.7
Čisti dobiček pred dodatnimi postavkami -1.9 5.7 4.4 -28.9 -10.7
Skupaj izredne postavke 3.7 163.9 -1.4 0.3 -1.2
Čisti dobiček 1.8 169.6 3 -28.6 -11.9
Prihodek, ki je na razpolago navadnim delničarjem, brez dodatnih postavk -1.9 5.7 4.4 -28.9 -10.7
Prihodek, ki je na razpolago skupnemu dobičku, vključno z dodatnimi postavkami 1.8 169.6 3 -28.6 -11.9
Popravljen čisti dobiček 1.8 169.6 3 -28.6 -11.9
Popravljene ponderirane povprečne delnice 30.527 30.625 30.895 30.689 30.644
Popravljen dobiček na delnico brez upoštevanja izrednih postavk -0.06224 0.18612 0.14242 -0.94171 -0.34917
Dividends per Share - Common Stock Primary Issue 0.11201 0.23326 0.1421 0.3033 0.143
Popravljen normalizirani dobiček na enoto čistega dobička -0.06224 0.43102 0.14242 -0.57024 -0.34917
  • Letni
  • Četrtletno
2016 2017 2018 2019 2020 2021
Kratkoročna sredstva skupaj 55.3604 88.7269 115.112 128.7 269.5 128.9
Denarna sredstva in kratkoročne naložbe 5.51628 32.5209 57.1877 59.6 187.2 14.1
Cash 5.51628 57.1877 59.6 187.2 14.1
Celotne terjatve, neto 23.6789 28.2257 28.3484 43.6 42.3 48.1
Accounts Receivable - Trade, Net 22.0283 24.6668 25.4031 43.6 28.4 39.4
Total Inventory 25.3393 26.7531 28.2257 25.5 36.3 62.3
Prepaid Expenses 0.825909 0.981764 1.34993 3.7 4.4
Other Current Assets, Total 0 0.245441 0
Total Assets 159.972 180.645 203.839 228.2 454.5 398.7
Property/Plant/Equipment, Total - Net 36.9536 32.2755 27.7348 37.7 65.9 48.6
Property/Plant/Equipment, Total - Gross 98.2561 99.1581 97.0719 125.4 144.3
Accumulated Depreciation, Total -61.3026 -66.8827 -69.3371 -59.5 -95.7
Goodwill, Net 3.96142 3.92705 4.04978 30.3 88.8
Intangibles, Net 54.1553 45.652 46.8792 43.5 59.1 92.2
Other Long Term Assets, Total 9.54152 10.0631 10.0631 18.3 29.7 40.2
Total Current Liabilities 44.966 47.861 50.8063 45.2 101.4 47.5
Accounts Payable 8.00996 14.7265 16.1991 13.6 22.9
Accrued Expenses 21.2122 21.2306 24.6668 23.7 13.6
Notes Payable/Short Term Debt 0 0 0.12272 0 39.5 0
Current Port. of LT Debt/Capital Leases 3.06678 2.20897 3.2 4
Other Current Liabilities, Total 12.677 9.69492 9.81764 8.4 21.4 7
Total Liabilities 108.428 112.412 99.7717 135.6 225 193.3
Total Long Term Debt 0 0 0 14.3 25.8 66
Long Term Debt 0 14.3 0 40.9
Deferred Income Tax 12.2806 8.34499 8.46771 6.7 5.6 6.1
Other Liabilities, Total 51.1818 56.206 40.4978 69.4 92.2 73.7
Total Equity 51.5438 68.2326 104.067 92.6 229.5 205.4
Common Stock 38.0716 38.0433 38.0433 50.3 50.3 50.3
Additional Paid-In Capital 42.5938 42.584 42.584 54.3 54.3 54.3
Retained Earnings (Accumulated Deficit) -39.6559 -20.3716 14.2356 -10.6 124.9 100.8
Other Equity, Total 10.5343 7.97683 9.20403 -1.4
Total Liabilities & Shareholders’ Equity 159.972 180.645 203.839 228.2 454.5 398.7
Total Common Shares Outstanding 31.0233 31.0233 31.0233 31.0233 31.0233 31.0233
Denarna sredstva in ustrezniki 32.5209
Payable/Accrued 36.8
Capital Lease Obligations 25.8 25.1
Mar 2020 Sep 2020 Mar 2021 Sep 2021 Apr 2022
Kratkoročna sredstva skupaj 125.4 269.5 109.4 128.9 130.1
Denarna sredstva in kratkoročne naložbe 9.5 187.2 0 14.1 12.6
Cash 9.5 187.2 0 14.1
Celotne terjatve, neto 62.2 46 54.3 52.5 44.5
Accounts Receivable - Trade, Net 62.2 46 54.3 44.7 33.9
Total Inventory 53.7 36.3 55.1 62.3 73
Total Assets 323.6 454.5 425.1 398.7 379.9
Property/Plant/Equipment, Total - Net 73.5 65.9 74.6 48.6 43.7
Intangibles, Net 102.9 89.4 206.6 181 175.9
Other Long Term Assets, Total 21.8 29.7 34.5 40.2 30.2
Total Current Liabilities 125.3 101.4 69.7 47.5 48.7
Payable/Accrued 55.5 39.5 42.2 40 41.3
Notes Payable/Short Term Debt 65.6 39.5 12.9 0 0
Current Port. of LT Debt/Capital Leases 2.6 3.2 3.9 4 4.1
Other Current Liabilities, Total 1.6 19.2 10.7 3.5 3.3
Total Liabilities 235.4 225 210.5 193.3 178.2
Total Long Term Debt 23.3 25.8 27.3 66 91.8
Capital Lease Obligations 23.3 25.8 27.3 25.1
Deferred Income Tax 10.2 5.6 5.6 6.1 6.1
Other Liabilities, Total 76.6 92.2 107.9 73.7 31.6
Total Equity 88.2 229.5 214.6 205.4 201.7
Common Stock 50.3 50.3 50.3 50.3 50.3
Additional Paid-In Capital 54.3 54.3 54.3 54.3 54.3
Retained Earnings (Accumulated Deficit) -16.4 124.9 110 100.8 97.1
Total Liabilities & Shareholders’ Equity 323.6 454.5 425.1 398.7 379.9
Total Common Shares Outstanding 31.0233 31.0233 31.0233 31.0233 31.0233
Long Term Debt 40.9 91.8
Denarna sredstva in ustrezniki 12.6
  • Letni
  • Četrtletno
2016 2017 2018 2019 2020 2021
Čisti prihodki/začetna postavka 22.8567 26.7531 24.2987 12.5175 3.8 -24.5
Denarna sredstva iz poslovanja 37.2334 39.8842 38.5342 21.8442 6.8 7.4
Denarna sredstva iz poslovanja 7.22946 6.99507 6.0133 3.06801 6.5 10.4
Amortization 7.92897 8.46771 7.60867 5.15426 12.3 19
Nedenarne postavke -1.01981 1.71809 5.89058 22.3351 7.8 18.7
Cash Taxes Paid 1.26525 2.45441 6.13602 7.48595 13.3
Denarna sredstva Plačane obresti 0.392705 0.245441 0.245441 0.859043 3.5 2.7
Spremembe v obratnem kapitalu 0.238078 -4.04978 -5.27698 -21.2306 -23.6 -16.2
Denarna sredstva pri naložbenju -12.38 -6.74963 -4.66338 -9.69492 94.3 -159.7
Kapitalski izdatki -8.39163 -6.74963 -10.9221 -6.99507 -19.9 -31.6
Celotne druge postavke denarnih tokov pri naložbenju -3.98842 6.25874 -2.69985 114.2 -128.1
Denarna sredstva pri financiranju -19.8991 -6.13602 -8.46771 -10.6767 24.2 -21.4
Total Cash Dividends Paid -2.98211 -3.92705 -5.03154 -6.6269 -8.9 -12.1
Izdaja (odplačilo) delnic, neto -2.2237 -1.22721 -1.34993 -1.59537 0 -4.3
Izdaja (odplačilo) dolga, neto -14.6933 -0.981764 -2.08625 -0.736323 37.4 -2.3
Učinki deviznih tečajev 0.154628 0 -0.736323 0.736323 2.3 0.6
Neto sprememba denarnih sredstev 5.10885 26.9985 24.6668 2.20897 127.6 -173.1
Postavke denarnega toka pri financiranju -1.71809 -4.3 -2.7
Mar 2020 Sep 2020 Mar 2021 Sep 2021 Apr 2022
Net income/Starting Line -1.9 3.8 4.4 -24.5 -10.7
Cash From Operating Activities -10.7 6.8 1.5 7.4 1.8
Cash From Operating Activities 1.6 6.5 4.5 10.4 4.7
Amortization 4.2 12.3 9.1 19 6.2
Non-Cash Items 8.9 -9.2 1.3 18.7 5.8
Cash Taxes Paid 1.8 3.5 11 13.3 -0.6
Cash Interest Paid 0.5 3.5 0.5 2.7 1.3
Changes in Working Capital -23.5 -6.6 -17.8 -16.2 -4.2
Cash From Investing Activities -98.8 94.3 -148.2 -159.7 -9
Capital Expenditures -3.8 -19.9 -15.8 -31.6 -5.8
Other Investing Cash Flow Items, Total -95 114.2 -132.4 -128.1 -3.2
Cash From Financing Activities 62.2 24.2 -43 -21.4 5.7
Financing Cash Flow Items -1.9 -4.3 -0.5 -2.7 -1.3
Total Cash Dividends Paid -5.2 -8.9 -7.7 -12.1 -9.1
Issuance (Retirement) of Stock, Net 0 0 -4.3 -4.3 -10.1
Issuance (Retirement) of Debt, Net 69.3 37.4 -30.5 -2.3 26.2
Foreign Exchange Effects -2.8 2.3 0.6 0.6 0
Net Change in Cash -50.1 127.6 -189.1 -173.1 -1.5
Ime vlagatelja Vrsta vlagatelja Odstotek neporavnanih obveznosti Delnice v lasti Sprememba delnic Datum imetništva Ocena prometa
Alantra EQMC Asset Management, SGIIC, S.A. Investment Advisor 11.8357 3581255 434403 2022-11-29 LOW
Kempen Capital Management N.V. Investment Advisor/Hedge Fund 9.67 2925967 1101797 2022-10-01 LOW
Ancora Alternatives LLC Corporation 5.0651 1532616 549225 2022-12-15 HIGH
Chelverton Asset Management Ltd. Investment Advisor 4.9573 1500000 1275000 2022-02-08 LOW
Royal London Asset Management Ltd. Investment Advisor/Hedge Fund 3.83 1158889 1158889 2022-10-01 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 3.65 1104424 34120 2022-10-01 LOW
Schroder Investment Management Ltd. (SIM) Investment Advisor/Hedge Fund 3.38 1022727 -28963 2022-10-01 LOW
Martin Currie Investment Management Ltd. Investment Advisor/Hedge Fund 3.25 983391 -503120 2022-10-01 LOW
Ancora Advisors, L.L.C. Investment Advisor/Hedge Fund 3.2474 982616 -76865 2022-09-30 LOW
Wellington Management Company, LLP Investment Advisor/Hedge Fund 2.3511 711388 33513 2022-12-15 LOW
The National Farmers Union Mutual Insurance Society Limited Insurance Company 2.2632 684791 97965 2022-06-02 LOW
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 2.2016 666159 241199 2022-12-15 LOW
Columbia Threadneedle Investments (UK) Investment Advisor/Hedge Fund 1.9442 588292 492160 2022-06-06 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 1.9052 576471 22962 2022-12-15 LOW
INVESCO Asset Management Limited Investment Advisor/Hedge Fund 1.8967 573898 258996 2022-06-06 LOW
Berenberg Bank (Asset Management) Bank and Trust 1.4957 452579 452579 2022-06-06 LOW
Castlebay Investment Partners LLP Investment Advisor 1.4779 447191 0 2022-12-31 LOW
Bennbridge Ltd Investment Advisor 1.1137 336995 -30147 2022-11-30 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 1.0715 324231 2268 2022-06-06 LOW
Ibercaja Gestión S.G.I.I.C., S.A. Investment Advisor 0.6624 200444 -13233 2022-09-30 LOW

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Kalkulator trgovanja

Calculate your hypothetical P&L if you had opened a CFD trade on a certain date (select a date) and closed on a different date (select a date).

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Vzvod
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Avon Rubber plc Company profile

O družbi AVON RUBBER PLC ORD #1

Avon Protection PLC, prej Avon Rubber PLC, je tehnološko podjetje s sedežem v Združenem kraljestvu. Podjetje oblikuje in proizvaja življenjsko pomembne rešitve za osebno zaščito za vojsko in prve posredovalce, ki vključujejo izdelke za kemično, biološko, radiološko, jedrsko (CBRN), dihalno zaščito in zaščito glave. Njene blagovne znamke so Avon Protection in Team Wendy. Avon Protection je ponudnik življenjsko pomembnih sistemov osebne zaščite. Team Wendy je dobavitelj čelad ter sistemov za oblazinjenje in zadrževanje čelad. Njen portfelj izdelkov vključuje zaščito dihal in zaščito glave. Portfelj izdelkov za zaščito dihal vključuje respiratorje, sisteme za dovajanje in dovajanje zraka, filtre, rezervne dele in dodatke. Portfelj izdelkov za zaščito glave je osredotočen na balistične čelade, čelade za zaščito pred udarci, podloge za čelade in zadrževalne sisteme. Njegove hčerinske družbe so Avon Polymer Products Limited, Avon Protection Holdings Limited in Avon Rubber Pension Trust Limited.

Industry: Aerospace & Defense (NEC)

Semington Road
Hampton Park West
SN12 6NB

Izkaz poslovnega izida

  • Annual
  • Quarterly

Ljudje gledajo tudi

Natural Gas

2.61 Price
+3.130% 1D Chg, %
Nočna pristojbina za nakup -0.1064%
Nočna pristojbina za prodajo 0.0751%
Čas nočne pristojbine 22:00 (UTC)
Razmik 0.005

Oil - Crude

77.45 Price
+3.660% 1D Chg, %
Nočna pristojbina za nakup -0.0221%
Nočna pristojbina za prodajo 0.0069%
Čas nočne pristojbine 22:00 (UTC)
Razmik 0.03

XRP/USD

0.40 Price
+1.420% 1D Chg, %
Nočna pristojbina za nakup -0.0500%
Nočna pristojbina za prodajo 0.0140%
Čas nočne pristojbine 22:00 (UTC)
Razmik 0.00347

BTC/USD

23,329.30 Price
+1.630% 1D Chg, %
Nočna pristojbina za nakup -0.0500%
Nočna pristojbina za prodajo 0.0140%
Čas nočne pristojbine 22:00 (UTC)
Razmik 60.00

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