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.

Trgovina Fluidra, S.A. - FLUI CFD

16.08
0.37%
0.08
Nizek: 16.08
Visok: 16.3
Market Trading Hours* (UTC) Opens on Monday at 07:00

Mon - Fri: 07:00 - 15:30

  • Povzetek
  • Zgodovinski podatki
  • Dogodki
  • Izkaz poslovnega izida
  • Bilanca stanja
  • Denarni tok
  • Lastništvo
Pogoji trgovanja
Razmik 0.08
Nočna pristojbina za nakup

Long position overnight fee


Margin. Your investment $1,000.00
Nočna pristojbina -0.019277 %
Charges from borrowed part ($-0.77)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Pojdi na platformo
-0.019277%
Nočna pristojbina za prodajo

Short position overnight fee


Margin. Your investment $1,000.00
Nočna pristojbina -0.002946 %
Charges from borrowed part ($-0.12)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Pojdi na platformo
-0.002946%
Čas nočne pristojbine 21:00 (UTC)
Min. tržena količina 1
Valuta EUR
Kritje 20%
Borza Spain
Provizija na trgovanje 0%

*Information provided by Capital.com

Fluidra SA 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.

Ključni statistični podatki
Predhodno. Zapri* 16.02
Odpri* 16.28
Enoletna sprememba* -39.3%
Dnevni razpon* 16.08 - 16.3
Razpon 52 wk 11.93-26.90
Povprečni obseg (10 dni) 524.70K
Povprečni obseg (3 meseci) 14.65M
Tržna kapitalizacija 3.11B
Razmerje P/E -100.00K
Število delnic v obtoku 186.32M
Prihodki -100.00B
EPS -100.00K
Dividenda (donosnost v %) 4.75602
Beta 0.74
Datum naslednjega zaslužka May 3, 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
Mar 31, 2023 16.08 -0.02 -0.12% 16.10 16.40 16.08
Mar 30, 2023 16.02 0.60 3.89% 15.42 16.08 15.42
Mar 29, 2023 15.44 0.14 0.92% 15.30 15.60 15.16
Mar 28, 2023 15.30 0.12 0.79% 15.18 15.48 15.14
Mar 27, 2023 15.36 0.04 0.26% 15.32 15.46 15.22
Mar 24, 2023 15.12 -0.42 -2.70% 15.54 15.62 15.10
Mar 23, 2023 15.60 0.12 0.78% 15.48 15.72 15.36
Mar 22, 2023 15.62 -0.02 -0.13% 15.64 15.68 15.30
Mar 21, 2023 15.80 -0.20 -1.25% 16.00 16.08 15.64
Mar 20, 2023 15.88 0.12 0.76% 15.76 16.06 15.68
Mar 17, 2023 16.08 -0.28 -1.71% 16.36 16.60 15.80
Mar 16, 2023 16.32 0.44 2.77% 15.88 16.34 15.80
Mar 15, 2023 15.76 -0.74 -4.48% 16.50 16.50 15.72
Mar 14, 2023 16.62 0.56 3.49% 16.06 16.82 16.06
Mar 13, 2023 16.22 0.22 1.37% 16.00 16.24 15.50
Mar 10, 2023 16.06 0.16 1.01% 15.90 16.30 15.86
Mar 9, 2023 16.36 0.36 2.25% 16.00 16.42 15.96
Mar 8, 2023 16.12 0.08 0.50% 16.04 16.12 15.82
Mar 7, 2023 16.22 -0.06 -0.37% 16.28 16.50 16.18
Mar 6, 2023 16.46 -0.10 -0.60% 16.56 16.62 16.44

Fluidra, S.A. Events

Čas (UTC) (UTC) Država Dogodek
No events scheduled
Oglejte si vse dogodke
  • Letni
  • Četrtletno
2022 2021 2020 2019 2018
Skupni prihodki 2428.44 2218.58 1510.86 1392.48 1047.82
Prihodki 2428.44 2218.58 1510.86 1392.48 1047.82
Celotni stroški prihodkov 1148.73 1056.69 715.54 681.072 574.368
Bruto dobiček 1279.71 1161.88 795.32 711.406 473.457
Celotni odhodki iz poslovanja 2123.98 1837.26 1327.29 1317.31 1049.19
Celotna prodaja/splošni/upravni stroški Odhodki 414.537 405.662 307.937 314.651 273.544
Depreciation / Amortization 157.037 122.547 116.121 125.882 66.649
Odhodki (prihodki) od obresti - neto poslovanje 0.066 0.022 0.204 0.076 0.078
Nenavadni odhodki (prihodki) 7.996 2.122 2.535 5.523 -0.472
Other Operating Expenses, Total 395.609 250.21 184.953 190.103 135.021
Prihodki iz poslovanja 304.462 381.321 183.57 75.171 -1.363
Prihodki (odhodki) od obresti, neto Neoperativni -66.876 -42.929 -47.834 -53.489 -25.576
Drugo, neto -12.473 -0.903 3.285 -1.589 -2.022
Čisti dobiček pred obdavčitvijo 225.113 337.489 139.021 20.093 -28.961
Čisti dobiček po davkih 164.403 255.968 99.903 14.111 -32.817
Manjšinski delež -4.472 -3.605 -3.515 -5.675 -2
Čisti dobiček pred dodatnimi postavkami 159.931 252.363 96.388 8.436 -34.817
Čisti dobiček 159.931 252.363 96.388 8.322 -33.922
Prihodek, ki je na razpolago navadnim delničarjem, brez dodatnih postavk 159.931 252.363 96.388 8.436 -34.817
Prihodek, ki je na razpolago skupnemu dobičku, vključno z dodatnimi postavkami 159.931 252.363 96.388 8.322 -33.922
Popravljen čisti dobiček 159.931 252.363 96.388 8.322 -33.922
Popravljene ponderirane povprečne delnice 188.582 190.552 193.933 194.303 152.31
Popravljen dobiček na delnico brez upoštevanja izrednih postavk 0.84807 1.32438 0.49702 0.04342 -0.22859
Dividends per Share - Common Stock Primary Issue 0.85 0.4 0.21 0
Popravljen normalizirani dobiček na enoto čistega dobička 0.87904 1.33282 0.50641 0.06338 -0.23061
Skupaj izredne postavke 0 -0.114 0.895
Dec 2022 Jun 2022 Dec 2021 Jun 2021
Skupni prihodki 2428.44 1465.98 1017.01 1201.56
Prihodki 2428.44 1465.98 1017.01 1201.56
Celotni stroški prihodkov 1148.73 721.582 487.43 569.264
Bruto dobiček 1279.71 744.394 529.583 632.301
Celotni odhodki iz poslovanja 2123.98 1191.45 879.751 957.506
Celotna prodaja/splošni/upravni stroški Odhodki 414.537 236.486 203.077 202.585
Depreciation / Amortization 157.037 75.143 64.41 59.409
Nenavadni odhodki (prihodki) -0.286 -0.356 1.686 0.436
Other Operating Expenses, Total 403.957 158.592 123.126 125.812
Prihodki iz poslovanja 304.462 274.529 137.262 244.059
Prihodki (odhodki) od obresti, neto Neoperativni -66.876 -33.038 -25.649 -17.28
Drugo, neto -12.473 -12.163 -0.026 -0.877
Čisti dobiček pred obdavčitvijo 225.113 229.328 111.587 225.902
Čisti dobiček po davkih 164.403 169.804 79.731 176.237
Manjšinski delež -4.472 -3.329 -1.608 -1.997
Čisti dobiček pred dodatnimi postavkami 159.931 166.475 78.123 174.24
Skupaj izredne postavke 0 0
Čisti dobiček 159.931 166.475 78.123 174.24
Prihodek, ki je na razpolago navadnim delničarjem, brez dodatnih postavk 159.931 166.475 78.123 174.24
Prihodek, ki je na razpolago skupnemu dobičku, vključno z dodatnimi postavkami 159.931 166.475 78.123 174.24
Popravljen čisti dobiček 159.931 166.475 78.123 174.24
Popravljene ponderirane povprečne delnice 188.582 189.828 189.817 191.287
Popravljen dobiček na delnico brez upoštevanja izrednih postavk 0.84807 0.87698 0.41157 0.91088
Dividends per Share - Common Stock Primary Issue 0 0.42 0.43
Popravljen normalizirani dobiček na enoto čistega dobička 0.84696 0.87559 0.41792 0.91266
Odhodki (prihodki) od obresti - neto poslovanje 0.022
  • Letni
  • Četrtletno
2021 2020 2019 2018 2017
Kratkoročna sredstva skupaj 854.692 767.687 826.46 784.608 401.711
Denarna sredstva in kratkoročne naložbe 98.602 236.498 251.953 174.983 68.894
Denarna sredstva in ustrezniki 87.808 225.631 242.24 170.061 64.756
Kratkoročne naložbe 10.794 10.867 9.713 4.922 4.138
Celotne terjatve, neto 256.651 249.341 314.745 312.07 159.975
Accounts Receivable - Trade, Net 185.665 210.353 260.761 254.143 126.587
Total Inventory 494.014 281.838 259.471 253.33 172.764
Other Current Assets, Total 5.425 0.01 0.291 44.225 0.078
Total Assets 3505.33 2805.96 2997.1 2879.2 764.506
Property/Plant/Equipment, Total - Net 312.272 219.655 232.635 116.222 98.506
Property/Plant/Equipment, Total - Gross 626.182 529.282 505.677 392.746 370.74
Accumulated Depreciation, Total -313.91 -309.627 -273.042 -276.524 -272.234
Goodwill, Net 1316.47 1075.48 1103.86 1093.69 196.218
Intangibles, Net 899.726 641.717 736.185 787.325 35.192
Long Term Investments 7.326 7.352 10.542 9.957 7.5
Note Receivable - Long Term 3.77 3.68 1.831 2.383 3.053
Other Long Term Assets, Total 111.08 90.389 85.588 85.02 22.326
Total Current Liabilities 798.034 401.296 365.844 329.286 222.464
Accounts Payable 292.81 224.749 219.933 189.2 101.116
Accrued Expenses 66.446 41.636 32.711 37.846 16.404
Notes Payable/Short Term Debt 176.748 0.975 5.954 21.063 28.493
Current Port. of LT Debt/Capital Leases 36.346 41.492 39.081 30.53 50.817
Other Current Liabilities, Total 225.684 92.444 68.165 50.647 25.634
Total Liabilities 1891.25 1384.66 1557.48 1446.7 430.856
Total Long Term Debt 832.567 762.796 955.622 856.454 137.774
Long Term Debt 696.041 671.102 857.035 856.295 133.757
Capital Lease Obligations 136.526 91.694 98.587 0.159 4.017
Deferred Income Tax 221.938 165.365 181.154 199.266 21.034
Minority Interest 8.349 6.734 5.878 8.214 10.034
Other Liabilities, Total 30.36 48.466 48.985 53.477 39.55
Total Equity 1614.08 1421.31 1439.61 1432.51 333.65
Common Stock 195.629 195.629 195.629 195.629 112.629
Additional Paid-In Capital 1148.59 1148.59 1148.59 1148.59 92.831
Retained Earnings (Accumulated Deficit) 435.971 186.896 113.208 107.259 136.145
Treasury Stock - Common -168.491 -35.841 -14 -13.69 -6.888
Other Equity, Total 2.384 -73.969 -3.814 -5.282 -1.067
Total Liabilities & Shareholders’ Equity 3505.33 2805.96 2997.1 2879.2 764.506
Total Common Shares Outstanding 189.833 193.085 194.048 193.492 110.99
Dec 2021 Jun 2021
Kratkoročna sredstva skupaj 854.692 877.683
Denarna sredstva in kratkoročne naložbe 98.602 110.476
Denarna sredstva in ustrezniki 87.808 99.797
Kratkoročne naložbe 10.794 10.679
Celotne terjatve, neto 256.651 405.406
Accounts Receivable - Trade, Net 256.651 405.406
Total Inventory 494.014 356.314
Other Current Assets, Total 5.425 5.487
Total Assets 3505.33 3139.58
Property/Plant/Equipment, Total - Net 312.272 250.963
Property/Plant/Equipment, Total - Gross 626.182 572.766
Accumulated Depreciation, Total -313.91 -321.803
Goodwill, Net 1316.47 1144.98
Intangibles, Net 899.726 759.562
Long Term Investments 7.326 7.766
Note Receivable - Long Term 3.77 3.557
Other Long Term Assets, Total 111.08 95.061
Total Current Liabilities 798.034 657.666
Payable/Accrued 412.239 511.838
Notes Payable/Short Term Debt 176.748 14.017
Current Port. of LT Debt/Capital Leases 36.346 31.341
Other Current Liabilities, Total 172.701 100.47
Total Liabilities 1891.25 1660.91
Total Long Term Debt 832.567 788.528
Long Term Debt 696.041 680.288
Capital Lease Obligations 136.526 108.24
Deferred Income Tax 221.938 170.553
Minority Interest 8.349 8.626
Other Liabilities, Total 30.36 35.539
Total Equity 1614.08 1478.67
Common Stock 195.629 195.629
Additional Paid-In Capital 1148.59 1148.59
Retained Earnings (Accumulated Deficit) 435.971 322.223
Treasury Stock - Common -168.491 -142.537
Other Equity, Total 2.384 -45.241
Total Liabilities & Shareholders’ Equity 3505.33 3139.58
Total Common Shares Outstanding 189.833 189.828
  • Letni
  • Četrtletno
2021 2020 2019 2018 2017
Čisti prihodki/začetna postavka 337.489 139.021 19.979 -27.977 45.777
Denarna sredstva iz poslovanja 342.584 292.064 155.543 31.373 69.002
Denarna sredstva iz poslovanja 122.602 116.326 125.958 61.002 33.821
Nedenarne postavke 82.375 71.79 84.422 46.705 26.464
Cash Taxes Paid 96.949 35.19 3.771 10.86 15.936
Denarna sredstva Plačane obresti 33.81 39.459 48.186 23.372 7.004
Spremembe v obratnem kapitalu -199.882 -35.073 -74.816 -48.357 -37.06
Denarna sredstva pri naložbenju -504.102 -60.678 -26.556 -15.785 -38.972
Kapitalski izdatki -71.422 -41.315 -47.038 -38.737 -28.065
Celotne druge postavke denarnih tokov pri naložbenju -432.68 -19.363 20.482 22.952 -10.907
Denarna sredstva pri financiranju 18.121 -238.168 -69.445 101.554 -48.509
Postavke denarnega toka pri financiranju 0.074 0.014 0.05 0.002 0.041
Total Cash Dividends Paid -77.646 -42.817 -4.376 -3.649 -17.178
Izdaja (odplačilo) delnic, neto -86.107 -15.92 -8.931 -5.513 1.076
Izdaja (odplačilo) dolga, neto 181.8 -179.445 -56.188 110.714 -32.448
Učinki deviznih tečajev 7.884 -9.827 1.465 -0.665 -2.864
Neto sprememba denarnih sredstev -135.513 -16.609 61.007 116.477 -21.343
Dec 2021 Jun 2021
Net income/Starting Line 337.489 225.902
Cash From Operating Activities 342.584 188.257
Cash From Operating Activities 122.602 58.18
Non-Cash Items 82.375 49.93
Cash Taxes Paid 96.949 43.586
Cash Interest Paid 33.81 16.586
Changes in Working Capital -199.882 -145.755
Cash From Investing Activities -504.102 -204.454
Capital Expenditures -71.422 -27.262
Other Investing Cash Flow Items, Total -432.68 -177.192
Cash From Financing Activities 18.121 -110.474
Financing Cash Flow Items 0.074 0.027
Total Cash Dividends Paid -77.646 -0.131
Issuance (Retirement) of Stock, Net -86.107 -86.08
Issuance (Retirement) of Debt, Net 181.8 -24.29
Foreign Exchange Effects 7.884 225.631
Net Change in Cash -135.513 98.96
Ime vlagatelja Vrsta vlagatelja Odstotek neporavnanih obveznosti Delnice v lasti Sprememba delnic Datum imetništva Ocena prometa
Rhône Capital LLC Private Equity 11.6738 22428788 0 2022-06-14 LOW
Boyser, S.L. Corporation 7.7384 14867809 -1037596 2022-06-14
Planes Vila (Juan) Individual Investor 7.2395 13909227 19563 2022-06-14
Edrem, S.L. Corporation 6.9035 13263651 -1936728 2022-06-14
Garrigos Ruiz (Robert) Individual Investor 6.15 11815996 371695 2022-06-14 LOW
Piumoc Inversions, SAU Corporation 5.6002 10759599 0 2022-06-14 LOW
G3T, S.L. Corporation 5.0929 9785000 0 2022-06-14
Puig Rocha (Manuel) Individual Investor 5.0915 9782224 0 2022-06-14
T. Rowe Price Associates, Inc. Investment Advisor 4.0947 7867149 -5047751 2023-01-05 LOW
Columbia Threadneedle Investments (UK) Investment Advisor/Hedge Fund 3.0498 5859472 -555557 2022-02-02 LOW
Capital Research Global Investors Investment Advisor 3.0153 5793187 -137647 2022-08-25 LOW
Rubiralta Giralt (Jordi) Individual Investor 2.9414 5651282 -3899031 2023-03-01 HIGH
Fidelity Management & Research Company LLC Investment Advisor 2.026 3892502 1129612 2023-02-02 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 1.6323 3136188 6080 2023-02-28 LOW
Fidelity International Investment Advisor 1.6069 3087352 1284803 2023-01-31 LOW
Harris Associates L.P. Investment Advisor/Hedge Fund 1.3379 2570400 855700 2022-12-31 LOW
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 1.3348 2564605 -18028 2022-12-31 LOW
T. Rowe Price International Ltd Investment Advisor/Hedge Fund 1.322 2539978 -23620 2022-12-31 MED
BlackRock Institutional Trust Company, N.A. Investment Advisor 1.1849 2276451 2276451 2023-03-01 LOW
Oddo BHF Asset Management S.A.S Investment Advisor/Hedge Fund 1.1089 2130525 16392 2023-01-31 LOW

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Kalkulator trgovanja

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Fluidra Company profile

O družbi Fluidra, S.A.

Družba Fluidra SA ima sedež v Španiji in se ukvarja s prodajo opreme za bazene in wellness. Podjetje ponuja izdelke, storitve in poslovne rešitve, povezane z internetom stvari. V lasti ima portfelj blagovnih znamk, med drugim Jandy, AstralPool, Polaris, Cepex, Zodiac, CTX Professional in Gre. Podjetje posluje v več kot 45 državah.

Industry: Sporting & Outdoor Goods

Av. Alcalde Barnils, 69
SANT CUGAT DEL VALLES
BARCELONA 08174
ES

Izkaz poslovnega izida

  • Annual
  • Quarterly

Ljudje gledajo tudi

US100

13,186.80 Price
+1.680% 1D Chg, %
Nočna pristojbina za nakup -0.0249%
Nočna pristojbina za prodajo 0.0027%
Čas nočne pristojbine 21:00 (UTC)
Razmik 3.0

Gold

1,969.66 Price
-0.550% 1D Chg, %
Nočna pristojbina za nakup -0.0185%
Nočna pristojbina za prodajo 0.0102%
Čas nočne pristojbine 21:00 (UTC)
Razmik 0.30

Natural Gas

2.20 Price
+3.540% 1D Chg, %
Nočna pristojbina za nakup -0.4092%
Nočna pristojbina za prodajo 0.3873%
Čas nočne pristojbine 21:00 (UTC)
Razmik 0.005

BTC/USD

28,626.75 Price
+1.580% 1D Chg, %
Nočna pristojbina za nakup -0.0616%
Nočna pristojbina za prodajo 0.0137%
Čas nočne pristojbine 21:00 (UTC)
Razmik 60.00

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