Trgovina Impulsora del Desarrollo y el Empleo en América Latina, S.A.B. de C.V. - IPSBF CFD
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Nočna pristojbina za nakup
Long position overnight fee
Pojdi na platformo | -0.025457% | ||||||||
Nočna pristojbina za prodajo
Short position overnight fee
Pojdi na platformo | 0.003235% | ||||||||
Čas nočne pristojbine | 21:00 (UTC) | ||||||||
Min. tržena količina | 1 | ||||||||
Valuta | USD | ||||||||
Kritje | 20% | ||||||||
Borza | United States of America | ||||||||
Provizija na trgovanje | 0% |
*Information provided by Capital.com
Impulsora del Desarrollo y el Empleo en America Latina SAB de CV ESG Risk Ratings
‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.
Predhodno. Zapri* | N/A |
Odpri* | N/A |
Enoletna sprememba* | N/A |
Dnevni razpon* | N/A |
Razpon 52 wk | 37.00-40.00 |
Povprečni obseg (10 dni) | N/A |
Povprečni obseg (3 meseci) | 36.04K |
Tržna kapitalizacija | 106.04B |
Razmerje P/E | 8.83 |
Število delnic v obtoku | 2.86B |
Prihodki | 26.21B |
EPS | 4.19 |
Dividenda (donosnost v %) | 2.43243 |
Beta | -100.00K |
Datum naslednjega zaslužka | Jul 26, 2023 |
Vse podatke je zagotovil Refinitiv, razen podatkov, označenih z zvezdico, ki so *podatki, ki jih je zagotovil Capital.com
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Impulsora del Desarrollo y el Empleo en América Latina, S.A.B. de C.V. Events
Čas (UTC) (UTC) | Država | Dogodek |
---|---|---|
Wednesday, July 26, 2023 | ||
Čas (UTC) (UTC) 10:59 | Država MX
| Dogodek Q2 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings Release Q2 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings ReleaseForecast -Previous - |
Thursday, October 26, 2023 | ||
Čas (UTC) (UTC) 10:59 | Država MX
| Dogodek Q3 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings Release Q3 2023 Impulsora del Desarrollo y el Empleo en America Latina SAB de CV Earnings ReleaseForecast -Previous - |
- Letni
- Četrtletno
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Skupni prihodki | 25357 | 20969.7 | 13656.6 | 15812.1 | 13953.4 |
Prihodki | 25357 | 20969.7 | 13656.6 | 15812.1 | 13953.4 |
Celotni stroški prihodkov | 566.28 | 4970.17 | 2349.74 | 2037.53 | 1313.07 |
Bruto dobiček | 24790.7 | 15999.5 | 11306.9 | 13774.6 | 12640.4 |
Celotni odhodki iz poslovanja | 13015.1 | 10950.9 | 7364.7 | 8330.59 | 6653.64 |
Celotna prodaja/splošni/upravni stroški Odhodki | 12389.8 | ||||
Depreciation / Amortization | 1511.94 | 1763.54 | 1944.86 | 1840.85 | |
Nenavadni odhodki (prihodki) | 2.566 | 0.036 | -4.045 | 444.89 | |
Other Operating Expenses, Total | 59.065 | 4466.21 | 3251.38 | 4352.24 | 3054.84 |
Prihodki iz poslovanja | 12341.9 | 10018.8 | 6291.91 | 7481.49 | 7299.79 |
Prihodki (odhodki) od obresti, neto Neoperativni | 2247.84 | 3483.72 | -11668 | -4254.59 | 1739.78 |
Čisti dobiček pred obdavčitvijo | 16285.5 | 13502.5 | -5376.12 | 3226.9 | 9039.57 |
Čisti dobiček po davkih | 12627.4 | 10951.7 | -4277.73 | 2824.26 | 6660.76 |
Manjšinski delež | -4434.35 | -3793.14 | 1533.13 | -1124.31 | -1401.63 |
Čisti dobiček pred dodatnimi postavkami | 8193.02 | 7158.58 | -2744.6 | 1699.95 | 5259.13 |
Čisti dobiček | 8193.02 | 7158.58 | -2382.01 | -576.772 | 4578 |
Prihodek, ki je na razpolago navadnim delničarjem, brez dodatnih postavk | 8193.02 | 7158.58 | -2744.6 | 1699.95 | 5259.13 |
Prihodek, ki je na razpolago skupnemu dobičku, vključno z dodatnimi postavkami | 8193.02 | 7158.58 | -2382.01 | -576.772 | 4578 |
Popravljen čisti dobiček | 8193.02 | 7158.58 | -2382.01 | -576.772 | 4578 |
Popravljene ponderirane povprečne delnice | 1853.63 | 2859.18 | 2862.58 | 2867.49 | 2887.18 |
Popravljen dobiček na delnico brez upoštevanja izrednih postavk | 4.42 | 2.50372 | -0.95879 | 0.59284 | 1.82155 |
Popravljen normalizirani dobiček na enoto čistega dobička | 4.42 | 2.50445 | -0.95878 | 0.5916 | 1.93509 |
Skupaj izredne postavke | 0 | 362.59 | -2276.72 | -681.129 | |
Dividends per Share - Common Stock Primary Issue | 1 | 1.25 | 1.58996 | ||
Drugo, neto | 1695.75 |
Mar 2023 | Dec 2022 | Sep 2022 | Jun 2022 | Mar 2022 | |
---|---|---|---|---|---|
Skupni prihodki | 6510.85 | 6933.44 | 6212.15 | 6552.46 | 5658.92 |
Prihodki | 6510.85 | 6933.44 | 6212.15 | 6552.46 | 5658.92 |
Celotni stroški prihodkov | 163.707 | 0 | 197.667 | 229.78 | 138.832 |
Bruto dobiček | 6347.15 | 6933.44 | 6014.49 | 6322.68 | 5520.09 |
Celotni odhodki iz poslovanja | 2951.82 | 3621.62 | 2914.75 | 3770.4 | 2708.34 |
Celotna prodaja/splošni/upravni stroški Odhodki | 2912.21 | 3587.55 | 2825.75 | 3424.8 | 2551.65 |
Other Operating Expenses, Total | -124.087 | 34.071 | -108.672 | 115.812 | 17.853 |
Prihodki iz poslovanja | 3559.03 | 3311.83 | 3297.41 | 2782.06 | 2950.58 |
Prihodki (odhodki) od obresti, neto Neoperativni | 22.801 | -185.305 | 821.739 | 1715.76 | 1380.99 |
Drugo, neto | -77.98 | 369.551 | -55.958 | -59.438 | -43.759 |
Čisti dobiček pred obdavčitvijo | 3503.85 | 3496.07 | 4063.19 | 4438.38 | 4287.81 |
Čisti dobiček po davkih | 2968.91 | 2767.61 | 3115 | 3117.05 | 3627.7 |
Manjšinski delež | -1275.89 | -1114.25 | -1170.72 | -1097.06 | -1052.31 |
Čisti dobiček pred dodatnimi postavkami | 1693.02 | 1653.36 | 1944.28 | 2019.99 | 2575.39 |
Skupaj izredne postavke | 0 | 0 | 0 | 0 | |
Čisti dobiček | 1693.02 | 1653.36 | 1944.28 | 2019.99 | 2575.39 |
Prihodek, ki je na razpolago navadnim delničarjem, brez dodatnih postavk | 1693.02 | 1653.36 | 1944.28 | 2019.99 | 2575.39 |
Prihodek, ki je na razpolago skupnemu dobičku, vključno z dodatnimi postavkami | 1693.02 | 1653.36 | 1944.28 | 2019.99 | 2575.39 |
Popravljen čisti dobiček | 1693.02 | 1653.36 | 1944.28 | 2019.99 | 2575.39 |
Popravljene ponderirane povprečne delnice | 1627.9 | 1704.5 | 1783.75 | 1853.2 | 2027.86 |
Popravljen dobiček na delnico brez upoštevanja izrednih postavk | 1.04 | 0.97 | 1.09 | 1.09 | 1.27 |
Dividends per Share - Common Stock Primary Issue | 0 | 1 | 0 | 0 | 0 |
Popravljen normalizirani dobiček na enoto čistega dobička | 1.04 | 0.97 | 1.09 | 1.09 | 1.27 |
Depreciation / Amortization |
- Letni
- Četrtletno
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Kratkoročna sredstva skupaj | 17005.7 | 15762.1 | 17300.9 | 54573.8 | 23842.6 |
Denarna sredstva in kratkoročne naložbe | 9959.96 | 4286.28 | 7555.24 | 11015.1 | 9655.74 |
Cash | 1617.98 | 2891.15 | 2198.02 | 1020.17 | |
Denarna sredstva in ustrezniki | 8953.04 | 2668.31 | 4664.08 | 919.219 | 1397.71 |
Celotne terjatve, neto | 6925.07 | 5997.09 | 6338.07 | 6509.93 | 6904.47 |
Accounts Receivable - Trade, Net | 6455.31 | 2332.98 | 2581.73 | 3409.18 | 4221.47 |
Other Current Assets, Total | 5382.61 | 3291.8 | 36957.8 | 7282.41 | |
Total Assets | 123391 | 110463 | 110561 | 138587 | 132831 |
Property/Plant/Equipment, Total - Net | 952.627 | 973.306 | 1013.85 | 920.439 | 12548.9 |
Property/Plant/Equipment, Total - Gross | 1475.07 | 1586.25 | 1445.84 | 16109.4 | |
Accumulated Depreciation, Total | -501.767 | -572.4 | -525.398 | -3560.48 | |
Goodwill, Net | 551.313 | 580.132 | 580.132 | 580.132 | 2063.65 |
Intangibles, Net | 77789.3 | 72335.6 | 68383 | 66440.2 | 80694.4 |
Long Term Investments | 4563.03 | 4.161 | |||
Note Receivable - Long Term | 14963.8 | 12387.7 | 8856.24 | 6083.42 | 3138.62 |
Other Long Term Assets, Total | 7564.96 | 8419.67 | 14426.8 | 9988.86 | 10542.6 |
Total Current Liabilities | 14309.6 | 12329.5 | 15579.3 | 49090.5 | 17836.2 |
Accounts Payable | 2968.06 | 2623.59 | 3326.17 | 155.072 | |
Accrued Expenses | 11.48 | 13.566 | 14.794 | 14.895 | |
Notes Payable/Short Term Debt | 0 | 0 | 0 | 0 | |
Current Port. of LT Debt/Capital Leases | 6851.86 | 5268.29 | 8452.02 | 20253.7 | 12949.2 |
Other Current Liabilities, Total | 943.248 | 4081.7 | 4490.1 | 25495.9 | 4717.1 |
Total Liabilities | 77818.7 | 71824.4 | 77107 | 106975 | 100033 |
Total Long Term Debt | 43166.6 | 40142.5 | 33391.8 | 43666.7 | 73252.6 |
Long Term Debt | 43149.2 | 40101.8 | 33331.1 | 43576.1 | 73252.6 |
Deferred Income Tax | 3497.28 | 262.268 | 423.98 | 1998.14 | 3275.18 |
Minority Interest | 14498.9 | 13826.5 | 12204.1 | 4373.36 | 3577.28 |
Other Liabilities, Total | 2346.44 | 5263.54 | 15507.9 | 7846.1 | 2091.58 |
Total Equity | 45571.9 | 38638.2 | 33453.8 | 31612.1 | 32797.9 |
Common Stock | 8222.19 | 8222.19 | 8222.19 | 8607 | 8607 |
Retained Earnings (Accumulated Deficit) | 22914.1 | 7583.28 | 3784.36 | 20461.9 | 23229.4 |
Other Equity, Total | 14455.7 | 22832.7 | 21447.3 | 2543.17 | 961.517 |
Total Liabilities & Shareholders’ Equity | 123391 | 110463 | 110561 | 138587 | 132831 |
Total Common Shares Outstanding | 2859.03 | 2859.05 | 2859.42 | 2866.02 | 2872.45 |
Kratkoročne naložbe | 1006.92 | 0 | 7897.85 | 7237.85 | |
Total Inventory | 120.632 | 96.108 | 115.745 | 91.04 | |
Prepaid Expenses | |||||
Treasury Stock - Common | -20.057 | ||||
Capital Lease Obligations | 17.405 | 40.736 | 60.751 | 90.557 | |
Payable/Accrued | 6514.5 |
Mar 2023 | Dec 2022 | Sep 2022 | Jun 2022 | Mar 2022 | |
---|---|---|---|---|---|
Kratkoročna sredstva skupaj | 18225.8 | 17005.7 | 18077.4 | 17384.4 | 16404.3 |
Denarna sredstva in kratkoročne naložbe | 10965.6 | 9959.96 | 10323.1 | 9984.72 | 9529.47 |
Cash | 663.452 | 407.721 | 1489.86 | 1765.6 | |
Denarna sredstva in ustrezniki | 9295.22 | 8953.04 | 8908.43 | 7487.89 | 6756.91 |
Kratkoročne naložbe | 1006.92 | 1006.92 | 1006.97 | 1006.97 | 1006.97 |
Celotne terjatve, neto | 6945.73 | 6925.07 | 7324.61 | 7189.77 | 6628.85 |
Accounts Receivable - Trade, Net | 2094.25 | 6455.31 | 3633.95 | 3564.92 | 2983.39 |
Total Inventory | 119.974 | 120.632 | 106.199 | 99.562 | 86.872 |
Prepaid Expenses | 194.487 | 323.424 | 110.358 | 159.082 | |
Total Assets | 122989 | 123391 | 123291 | 119671 | 114790 |
Property/Plant/Equipment, Total - Net | 937.685 | 952.627 | 949.912 | 952.058 | 961.301 |
Goodwill, Net | 550.902 | 551.313 | 580.132 | 580.132 | 580.132 |
Intangibles, Net | 79453.1 | 77789.3 | 76177.2 | 74952.3 | 73203.1 |
Long Term Investments | 3493.83 | 4563.03 | 6134.9 | 5332.35 | 3022.6 |
Note Receivable - Long Term | 15457.9 | 14963.8 | 14343.4 | 13399.1 | 12892.2 |
Other Long Term Assets, Total | 4869.44 | 7564.96 | 7027.88 | 7070.32 | 7726.63 |
Total Current Liabilities | 14852.1 | 14309.6 | 16478.2 | 16463.8 | 12448.4 |
Accounts Payable | 2487.7 | 193.756 | 221.826 | 161.604 | |
Accrued Expenses | 1108.78 | 905.522 | 782.534 | 784.239 | |
Notes Payable/Short Term Debt | 0 | 0 | 0 | 0 | |
Current Port. of LT Debt/Capital Leases | 7712.65 | 6851.86 | 6562.4 | 6760.06 | 6019.09 |
Other Current Liabilities, Total | 3542.96 | 943.248 | 8816.53 | 8699.42 | 5483.47 |
Total Liabilities | 76332.7 | 77818.7 | 78762.3 | 77480.1 | 72829.1 |
Total Long Term Debt | 43402.8 | 43166.6 | 41219.9 | 40485.1 | 39303.9 |
Long Term Debt | 43391.7 | 43149.2 | 41197.9 | 40457.4 | 39270.6 |
Capital Lease Obligations | 11.153 | 17.405 | 21.915 | 27.692 | 33.347 |
Deferred Income Tax | 261.545 | 3497.28 | 3426.54 | 3179.14 | 2745.94 |
Minority Interest | 15426.3 | 14498.9 | 15083.1 | 14649.8 | 14870.1 |
Other Liabilities, Total | 2389.91 | 2346.44 | 2554.59 | 2702.32 | 3460.74 |
Total Equity | 46656 | 45571.9 | 44528.5 | 42190.5 | 41961.2 |
Common Stock | 8222.19 | 8222.19 | 8222.19 | 8222.19 | 8222.19 |
Retained Earnings (Accumulated Deficit) | 26083.9 | 22914.1 | 22905.5 | 20961.2 | 21800.7 |
Treasury Stock - Common | -20.367 | -20.057 | -20.034 | -20.029 | -19.998 |
Other Equity, Total | 12370.3 | 14455.7 | 13420.8 | 13027.1 | 11958.3 |
Total Liabilities & Shareholders’ Equity | 122989 | 123391 | 123291 | 119671 | 114790 |
Total Common Shares Outstanding | 2858.92 | 2859.03 | 2859.04 | 2859.04 | 2859.05 |
Other Current Assets, Total | |||||
Property/Plant/Equipment, Total - Gross | |||||
Accumulated Depreciation, Total | |||||
Payable/Accrued | 6514.5 |
- Letni
- Četrtletno
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
Čisti prihodki/začetna postavka | 12627.4 | 13502.5 | -5376.12 | 3226.9 | 8326.7 |
Denarna sredstva iz poslovanja | 10943.3 | 9140.82 | 5494.42 | 4597.49 | 10963.2 |
Denarna sredstva iz poslovanja | 1562.99 | 80.668 | 81.641 | 83.334 | 436.836 |
Amortization | 1431.28 | 1681.9 | 1861.53 | 1859.85 | |
Nedenarne postavke | -525.495 | 1532.09 | 14534.8 | 8125.94 | 5215.22 |
Cash Taxes Paid | 3112.07 | 3349.3 | 1861.22 | 2039.11 | 1974.89 |
Denarna sredstva Plačane obresti | 4742.68 | 3321.65 | 12038.7 | 4268.7 | 5876.81 |
Spremembe v obratnem kapitalu | -2721.54 | -7405.75 | -5427.79 | -8700.22 | -4875.43 |
Denarna sredstva pri naložbenju | -2807.24 | -5543.22 | 12243.8 | 3184.05 | -3115.26 |
Kapitalski izdatki | -5832.84 | -3888.86 | -2676.69 | -2415.16 | -2443.29 |
Celotne druge postavke denarnih tokov pri naložbenju | 3025.6 | -1654.36 | 14920.5 | 5599.2 | -671.972 |
Denarna sredstva pri financiranju | -7622.66 | -6866.55 | -21198.1 | -6422.18 | -209.978 |
Postavke denarnega toka pri financiranju | -5983.65 | -6644.02 | 5460.93 | -5210.11 | -6904.92 |
Total Cash Dividends Paid | -5787.54 | -3573.81 | -4556.85 | ||
Izdaja (odplačilo) dolga, neto | 4149.32 | 3365.93 | -21857.8 | -993.065 | 7872.17 |
Učinki deviznih tečajev | 0 | -6.505 | |||
Neto sprememba denarnih sredstev | 513.43 | -3268.95 | -3459.85 | 1359.35 | 7631.43 |
Izdaja (odplačilo) delnic, neto | -0.778 | -14.644 | -244.384 | -219.01 | -1177.22 |
Mar 2023 | Dec 2022 | Sep 2022 | Jun 2022 | Mar 2022 | |
---|---|---|---|---|---|
Net income/Starting Line | 2968.91 | 12627.4 | 9859.76 | 6744.76 | 3627.7 |
Cash From Operating Activities | 1962.59 | 10943.3 | 7176.72 | 3942.73 | 1651.43 |
Cash From Operating Activities | 332.529 | 1562.99 | 1183.19 | 784.196 | 389.864 |
Non-Cash Items | 514.447 | -525.495 | -996.56 | -1116.53 | -724.804 |
Cash Taxes Paid | 1012.11 | 3112.07 | 2471.59 | 3223.01 | 1894.11 |
Cash Interest Paid | 1115.56 | 4742.68 | 3416.86 | 1992.84 | 845.323 |
Changes in Working Capital | -1853.3 | -2721.54 | -2869.67 | -2469.69 | -1641.33 |
Cash From Investing Activities | -324.676 | -2807.24 | -2076.13 | -1277.64 | -258.051 |
Capital Expenditures | -1449.74 | -5832.84 | -4178.89 | -2849.77 | -970.564 |
Other Investing Cash Flow Items, Total | 1125.07 | 3025.6 | 2102.76 | 1572.13 | 712.513 |
Cash From Financing Activities | -477.207 | -7622.66 | -4224.05 | -2126.94 | -1310.48 |
Financing Cash Flow Items | -1475.71 | -5983.65 | -3891.73 | -2273.8 | -871.1 |
Total Cash Dividends Paid | -154.312 | -5787.54 | -2115.56 | -1481.24 | -199.333 |
Issuance (Retirement) of Stock, Net | -3.996 | -0.778 | -0.483 | -0.417 | 0 |
Issuance (Retirement) of Debt, Net | 1156.81 | 4149.32 | 1783.73 | 1628.51 | -240.047 |
Foreign Exchange Effects | |||||
Net Change in Cash | 1160.7 | 513.43 | 876.542 | 538.145 | 82.897 |
Ime vlagatelja | Vrsta vlagatelja | Odstotek neporavnanih obveznosti | Delnice v lasti | Sprememba delnic | Datum imetništva | Ocena prometa |
---|---|---|---|---|---|---|
CPP Investment Board | Pension Fund | 23.6881 | 678905000 | 0 | 2022-03-31 | LOW |
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Impulsora del Desarrollo y el Empleo en América Latina, S.A.B. de C.V. Company profile
O družbi Impulsora del Desarrollo y el Empleo en América Latina, S.A.B. de C.V.
Impulsora del Desarrollo y el Empleo en America Latina SAB de CV (IDEAL) je podjetje s sedežem v Mehiki, ki se skupaj s svojimi podružnicami ukvarja z gradbeništvom in inženiringom. Njene glavne poslovne dejavnosti so razdeljene na štiri področja: avtoceste, ki vključuje gradnjo, obratovanje, izkoriščanje in vzdrževanje cestninskih cest; vode, ki zajema gradnjo in obratovanje čistilnih naprav; energija, ki je specializirana za razvoj in obratovanje hidroelektrarn; in promet, ki se ukvarja z gradnjo in izboljšanjem multimodalnih prometnih terminalov. Družba ima v lasti hčerinske družbe, kot so Promotora del Desarrollo de America Latina SA de CV, IDEAL Panama SA, CFC Concesiones SA de CV, Desarrolladora Mexicana de Infraestructura Social SA de CV, Aguas Tratadas del Valle de Mexico SA de CV in Administradora y Operadora de Estacionamientos Ideal SA de CV.
Industry: | Highway Operators |
Paseo de las Palmas 781 , piso 1
Col. Lomas de Chapultepec III Sección
MIGUEL HIDALGO
MEXICO, D.F. 11000
MX
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