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Trade Sunpower - 5GDsg CFD

0.372
1.33%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0264%
Short position overnight fee -0.0181%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency SGD
Margin 20%
Stock exchange Singapore
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 0.377
Open* 0.367
Day's Range* 0.367 - 0.367
1-Year Change* -44.48%
Volume N/A
Average Vol. (3m) 2.71997
52 wk Range N/A
Market Cap 302.116
P/E Ratio 5.29303
Shares Outstanding 795686000
Revenue 657.962
EPS 0.07173
Dividend (Yield %) 0.78947
Beta 1.00973
Next Earnings Date N/A

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Aug 10, 2022 0.372 0.005 1.36% 0.367 0.372 0.367
Aug 8, 2022 0.377 0.010 2.72% 0.367 0.377 0.367
Aug 5, 2022 0.372 0.000 0.00% 0.372 0.377 0.372
Aug 4, 2022 0.372 0.010 2.76% 0.362 0.372 0.362
Aug 3, 2022 0.362 0.000 0.00% 0.362 0.362 0.362
Aug 2, 2022 0.362 0.000 0.00% 0.362 0.362 0.362
Aug 1, 2022 0.367 0.000 0.00% 0.367 0.367 0.362
Jul 29, 2022 0.367 0.000 0.00% 0.367 0.372 0.367
Jul 28, 2022 0.367 0.000 0.00% 0.367 0.367 0.357
Jul 27, 2022 0.362 0.000 0.00% 0.362 0.367 0.362
Jul 26, 2022 0.362 0.000 0.00% 0.362 0.367 0.357
Jul 25, 2022 0.362 0.000 0.00% 0.362 0.362 0.362
Jul 22, 2022 0.367 0.005 1.38% 0.362 0.367 0.362
Jul 21, 2022 0.362 0.000 0.00% 0.362 0.367 0.362
Jul 20, 2022 0.362 -0.005 -1.36% 0.367 0.367 0.362
Jul 19, 2022 0.367 0.000 0.00% 0.367 0.367 0.367
Jul 15, 2022 0.367 -0.010 -2.65% 0.377 0.377 0.362
Jul 14, 2022 0.367 0.000 0.00% 0.367 0.367 0.367
Jul 13, 2022 0.372 0.000 0.00% 0.372 0.377 0.372
Jul 12, 2022 0.367 0.000 0.00% 0.367 0.372 0.367

Sunpower Events

Time (UTC) Country Event
Wednesday, August 10, 2022
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 1626.17 1965.47 3262.89 3604.63 1335.17 2902.32
Revenue 1626.17 1965.47 3262.89 3604.63 1335.17 2902.32
Cost of Revenue, Total 1217.88 1560.42 2574.56 2723.04 948.919 2557.55
Gross Profit 408.285 405.053 688.333 881.59 386.248 344.77
Total Operating Expense 1448.5 1765.2 2890.67 3053.38 990.635 1694.15
Selling/General/Admin. Expenses, Total 210.205 239.585 375.211 379.361 97.409 166.959
Depreciation / Amortization 2.428 14.38 37.574 47.576 67.572 111.681
Interest Expense (Income) - Net Operating 23.677 -12.236 -6.145 -3.799 -47.751 -21.343
Other Operating Expenses, Total -5.697 -36.948 -90.528 -92.797 -75.478 -113.638
Operating Income 177.672 200.272 372.221 551.249 344.532 1208.17
Net Income Before Taxes 177.672 177.835 394.702 240.052 -201.055 1057.71
Net Income After Taxes 145.676 150.849 332.555 149.344 -276.364 815.796
Minority Interest -3.503 -5.079 -12.035 -11.302 -27.386 -12.013
Net Income Before Extra. Items 142.173 145.77 320.52 138.042 -303.75 803.783
Net Income 142.173 145.77 320.52 138.042 -55.551 831.342
Income Available to Common Excl. Extra. Items 142.173 145.77 320.52 138.042 -303.75 803.783
Income Available to Common Incl. Extra. Items 142.173 145.77 320.52 138.042 -55.551 831.342
Diluted Net Income 142.173 145.77 405.472 138.042 -55.551 435.824
Diluted Weighted Average Shares 755.735 1044.92 1087.28 781.323 789.306 1152.58
Diluted EPS Excluding Extraordinary Items 0.18813 0.1395 0.37292 0.17668 -0.38483 0.35422
Dividends per Share - Common Stock Primary Issue 0.00576 0.00584 0.00959 0.01295 0.01482
Diluted Normalized EPS 0.18836 0.13952 0.37263 0.17877 -0.38486 -0.31969
Interest Income (Expense), Net Non-Operating -22.437 22.481 -311.197 -545.587 252.854
Dilution Adjustment 84.952 -395.518
Unusual Expense (Income) -0.036 -1007.06
Other, Net 0 -403.315
Total Extraordinary Items 248.199 27.559
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total revenue 423.639 488.986 771.273 1224.46 738.481
Revenue 423.639 488.986 771.273 1224.46 738.481
Cost of Revenue, Total 338.543 357.44 695.191 1166.38 632.686
Gross Profit 85.096 131.546 76.082 58.088 105.795
Total Operating Expense 357.98 -572.25 734.861 1179.6 656.825
Selling/General/Admin. Expenses, Total 15.9 20.484 43.947 72.31 29.597
Interest Expense (Income) - Net Operating 4.558 -12.888 1.944 -14.956 -3.174
Other Operating Expenses, Total -1.021 -3.277 -6.214 28.913 -2.284
Operating Income 65.659 1061.24 36.412 44.865 81.656
Interest Income (Expense), Net Non-Operating -0.975 -396.545 178.385 68.674 -19.896
Net Income Before Taxes 64.684 664.69 214.797 113.539 61.76
Net Income After Taxes 52.574 440.812 207.673 114.737 49.779
Minority Interest -0.905 -11.853 -5.137 5.882 -8.686
Net Income Before Extra. Items 51.669 428.959 202.536 120.619 41.093
Total Extraordinary Items 33.518 -7.887 0 1.928 0
Net Income 85.187 421.072 202.536 122.547 41.093
Income Available to Common Excl. Extra. Items 51.669 428.959 202.536 120.619 41.093
Income Available to Common Incl. Extra. Items 85.187 421.072 202.536 122.547 41.093
Dilution Adjustment -25.443 121.721 -375.829 -115.967 -18.652
Diluted Net Income 59.744 542.793 -173.293 6.58 22.441
Diluted Weighted Average Shares 1150.15 1150.98 1151.47 1153.62 1154.53
Diluted EPS Excluding Extraordinary Items 0.0228 0.47844 -0.1505 0.00403 0.01944
Dividends per Share - Common Stock Primary Issue 0 0 0 0
Diluted Normalized EPS 0.02282 -0.04902 -0.1505 -0.03712 0.01944
Unusual Expense (Income) -934.009 -0.007 -73.044
Other, Net -0.001
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 1699.94 2966.4 2982.37 3234.38 3354.42 1367.57
Cash and Short Term Investments 281.277 902.608 782.584 882.013 844.878 401.409
Cash 281.277
Total Receivables, Net 1135.93 1627.96 1581.72 1693.17 1759.77 782.667
Accounts Receivable - Trade, Net 1016.76 1264.16 1191.54 1352.24 1452.34 6.543
Total Inventory 209.769 342.762 499.862 545.015 541.003 122.706
Other Current Assets, Total 72.966 93.07 118.203 114.179 208.767 60.79
Total Assets 2783.23 5000.3 6623.45 7617.44 8285.12 6604.73
Property/Plant/Equipment, Total - Net 250.208 474.003 869.813 1026.86 1355.29 893.876
Property/Plant/Equipment, Total - Gross 426.094 682.525 1129.62 1370.18 1831.96 1089.21
Accumulated Depreciation, Total -175.886 -208.522 -259.81 -343.313 -476.668 -195.336
Goodwill, Net 5.483 24.114 335.769 415.582 415.582 415.582
Intangibles, Net 635.369 1283.73 2073.73 2526.83 3007.08 3820.99
Note Receivable - Long Term 8.535 23.804 12.667 45.639 89.488 58.956
Other Long Term Assets, Total 183.693 208.184 328.127 345.4 38.819 24.301
Total Current Liabilities 1466.38 2306.01 3076.12 3202.8 2968.91 1476.47
Accounts Payable 882.322 1361.17 1610.57 957.899 910.592 397.411
Accrued Expenses 93.639 66.238
Notes Payable/Short Term Debt 0 15.025 106.544 42 56 124.952
Current Port. of LT Debt/Capital Leases 401 517.2 492.904 1013.31 770.74 595.658
Other Current Liabilities, Total 89.415 412.614 866.104 1189.59 1231.58 292.215
Total Liabilities 1665.19 3738.4 5033.6 5884.14 6613.96 5018.1
Total Long Term Debt 157 1254.87 1568.87 2201.05 3113.04 3057.96
Long Term Debt 157 1254.87 1568.87 2193.51 3109.42 3052.45
Deferred Income Tax 16.12 36.401 148.19 213.716 218.692 219.498
Minority Interest 25.693 141.122 240.417 266.57 313.318 264.171
Total Equity 1118.04 1261.9 1589.85 1733.3 1671.15 1586.62
Common Stock 53.531 53.531 55.439 57.251 57.251 57.662
Additional Paid-In Capital 266.938 266.938 288.618 309.061 309.061 313.653
Retained Earnings (Accumulated Deficit) 797.312 941.567 1248.78 1374.87 1309.32 1216.71
Other Equity, Total 0.261 -0.137 -0.021 0.019 -0.149 -0.19
Total Liabilities & Shareholders’ Equity 2783.23 5000.3 6623.45 7617.44 8285.12 6604.73
Total Common Shares Outstanding 737.657 737.657 765.447 789.306 789.306 795.686
Cash & Equivalents 902.608 685.306 690.481 534.491 398.399
Short Term Investments 0 97.278 191.532 310.387 3.01
Long Term Investments 20.072 20.975 22.744 24.443 23.445
Unrealized Gain (Loss) 0 -2.964 -3.212 0.363 -1.209
Capital Lease Obligations 7.539 3.622 5.506
Treasury Stock - Common -4.69 -4.69 0
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 4110.97 2414.98 1777.32 1367.57 1374.74
Cash and Short Term Investments 1311.42 888.635 850.233 401.409 297.688
Cash & Equivalents 948.377 864.56 778.524 398.399 259.875
Short Term Investments 363.046 24.075 71.709 3.01 37.813
Total Receivables, Net 1902.39 1276.13 677.035 782.667 956.185
Accounts Receivable - Trade, Net 1330.41 342.761 371.888 422.864 534.703
Total Inventory 668.236 64.871 56.709 122.706 60.078
Other Current Assets, Total 228.917 185.337 193.345 60.79 60.79
Total Assets 9230.39 7237.29 6733.34 6604.73 6843.33
Property/Plant/Equipment, Total - Net 1351.71 842.898 870.611 893.876 830.684
Goodwill, Net 415.582 415.582 415.582 415.582 415.582
Intangibles, Net 3116.51 3482.27 3597.1 3820.99 4059.94
Long Term Investments 24.883 16.163 16.71 23.445 34.378
Note Receivable - Long Term 165.681 46.444 29.814 58.956 101.953
Other Long Term Assets, Total 45.05 18.955 26.208 24.301 26.053
Total Current Liabilities 3086.16 1477.58 1537.99 1476.47 1633.24
Accounts Payable 1974.13 272.057 292.276 587.714 348.534
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 788.777 607.308 617.921 595.658 683.593
Other Current Liabilities, Total 323.245 598.219 627.791 293.102 601.115
Total Liabilities 7455.62 5589.7 5268.19 5018.1 5215.99
Total Long Term Debt 3851.66 3631.19 3243.76 3057.96 3089.88
Long Term Debt 3848.06 3631.19 3238.1 3052.45 3083.46
Capital Lease Obligations 3.6 0 5.657 5.506 6.421
Deferred Income Tax 218.523 214.798 216.688 219.498 220.048
Minority Interest 299.273 266.13 269.758 264.171 272.814
Total Equity 1774.77 1647.59 1465.15 1586.62 1627.34
Common Stock 57.413 57.662 57.662 57.662 57.662
Additional Paid-In Capital 328.573 297.812 297.812 313.653 313.652
Retained Earnings (Accumulated Deficit) 1393.83 1292.71 1110.69 1216.71 1257.8
Treasury Stock - Common -4.69 0 0 0
Unrealized Gain (Loss) -0.225 -0.395 -0.854 -1.209 -1.577
Other Equity, Total -0.134 -0.2 -0.166 -0.19 -0.194
Total Liabilities & Shareholders’ Equity 9230.39 7237.29 6733.34 6604.73 6843.33
Total Common Shares Outstanding 791.806 795.686 795.686 795.686 795.686
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 177.672 177.835 394.702 240.052 83.358 1091
Cash From Operating Activities 146.122 85.883 207.249 436.558 512.646 223.208
Cash From Operating Activities 29.484 34.414 63.366 90.494 97.99 68.66
Amortization 0.981 12.933 38.134 50.096 78.504 107.465
Non-Cash Items 46.229 -16.686 5.142 372.599 572.829 -809.975
Cash Taxes Paid 12.301 21.668 45.691 83.421 128.537 83.033
Cash Interest Paid 24.873 33.551 79.188 128.946 127.437 586.521
Changes in Working Capital -108.244 -122.613 -294.095 -316.683 -320.035 -233.946
Cash From Investing Activities -359.59 -692.553 -766.711 -1243.85 -781.07 472.204
Capital Expenditures -321.122 -574.171 -300.128 -623.692 -514.519 -963.1
Other Investing Cash Flow Items, Total -38.468 -118.382 -466.583 -620.163 -266.551 1435.3
Cash From Financing Activities 97.068 1228.14 342.044 812.432 112.602 -831.463
Financing Cash Flow Items -2.651 40.248 36.195 -59.366 -137.957 -470.666
Total Cash Dividends Paid -4.281 -4.393 -4.239 -7.302 -10.001 -936.609
Issuance (Retirement) of Debt, Net 104 1192.28 293.933 871.522 260.56 568.329
Foreign Exchange Effects 0.15 -0.137 0.116 0.04 -0.168 -0.041
Net Change in Cash -116.25 621.331 -217.302 5.175 -155.99 -136.092
Issuance (Retirement) of Stock, Net 0 16.155 7.578 0 7.483
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 103.042 759.475 974.272 1091 61.76
Cash From Operating Activities 202.55 244.464 274.017 223.208 -66.306
Cash From Operating Activities 26.629 41.686 57.105 68.66 14.427
Amortization 27.022 54.74 79.762 107.465 32.293
Non-Cash Items 7.176 -543 -719.22 -809.975 16.685
Cash Taxes Paid 23.816 82.069 90.174 83.033 28.22
Cash Interest Paid 55.601 99.585 135.495 586.521 48.915
Changes in Working Capital 38.681 -68.437 -117.902 -233.946 -191.471
Cash From Investing Activities -526.271 145.896 645.245 472.204 -196.467
Capital Expenditures -445.516 -582.689 -730.545 -963.1 -140.473
Other Investing Cash Flow Items, Total -80.755 728.585 1375.79 1435.3 -55.994
Cash From Financing Activities 737.592 -60.24 -675.212 -831.463 125.113
Financing Cash Flow Items -48.74 -55.433 -71.889 -470.666 -17.708
Issuance (Retirement) of Stock, Net 1.945 6.465 6.465 7.483 0
Issuance (Retirement) of Debt, Net 784.387 772.214 730.137 568.329 142.821
Foreign Exchange Effects 0.015 -0.051 -0.017 -0.041 -0.864
Net Change in Cash 413.886 330.069 244.033 -136.092 -138.524
Total Cash Dividends Paid -783.486 -1339.93 -936.609

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Sunpower Company profile

About Sunpower Group Ltd.

Sunpower Group Ltd is a China-based investment holding company engaged in the development and manufacture of energy saving, energy efficient and environmental protection products and the provision of solutions. The Company operates two segments. Manufacturing & Services (M&S) segment provides heat exchangers and pressure vessels, heat pipes and heat pipe exchangers, pipeline energy saving products and related environmental protection products. It also provides solutions for flare and flare gas recovery system, desulphurisation and denitrification system, zero liquid discharge system, petrochemical engineering and energy saving system. Green Investments (GI) segment focuses on the investment, development and operation of centralized heat, steam and electricity generation plants.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Sunpower Group Ltd. revenues decreased 29% to RMB2.86B. Net income before extraordinary items totaled RMB803.8M vs. loss of RMB55.6M. Revenues reflect a decrease in demand for the Company's products and services due to unfavorable market conditions. Net Income reflects FV G/L on convertible bonds increase from RMB337.4M (expense) to RMB486.2M (income).

Industry: Industrial Machinery & Equipment (NEC)

诚信大道2111号
江宁科学园
NANJING
JIANGSU
CN

Income statement

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