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Trade TravelCenters of America LLC - TA CFD

33.91
6.31%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.18
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.024068 %
Charges from borrowed part ($-0.96)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.024068%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.001846 %
Charges from borrowed part ($0.07)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
0.001846%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 35.99
Open* 35.38
1-Year Change* 4.21%
Day's Range* 33.44 - 35.45
52 wk Range 31.19-86.68
Average Volume (10 days) 984.45K
Average Volume (3 months) 13.51M
Market Cap 1.30B
P/E Ratio 7.81
Shares Outstanding 15.10M
Revenue 10.85B
EPS 11.04
Dividend (Yield %) N/A
Beta 1.47
Next Earnings Date May 1, 2023

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
Jun 29, 2022 33.91 -1.61 -4.53% 35.52 35.61 33.34
Jun 28, 2022 35.99 -0.58 -1.59% 36.57 37.63 35.91
Jun 27, 2022 36.49 1.77 5.10% 34.72 36.87 34.57
Jun 24, 2022 34.66 1.43 4.30% 33.23 35.57 33.23
Jun 23, 2022 33.69 -0.91 -2.63% 34.60 34.88 32.35
Jun 22, 2022 34.56 1.10 3.29% 33.46 35.45 33.46
Jun 21, 2022 34.94 1.48 4.42% 33.46 35.74 32.66
Jun 17, 2022 32.62 0.65 2.03% 31.97 32.90 31.46
Jun 16, 2022 31.63 -1.83 -5.47% 33.46 33.52 31.33
Jun 15, 2022 34.98 2.59 8.00% 32.39 35.79 32.39
Jun 14, 2022 33.20 1.38 4.34% 31.82 33.99 31.81
Jun 13, 2022 32.20 -0.52 -1.59% 32.72 32.97 31.09
Jun 10, 2022 33.66 -1.59 -4.51% 35.25 35.82 33.37
Jun 9, 2022 36.28 0.13 0.36% 36.15 36.57 35.98
Jun 8, 2022 36.90 0.69 1.91% 36.21 36.90 35.88
Jun 7, 2022 36.93 -0.03 -0.08% 36.96 37.04 35.80
Jun 6, 2022 37.28 -0.71 -1.87% 37.99 38.05 36.82
Jun 3, 2022 37.96 -0.79 -2.04% 38.75 38.80 37.60
Jun 2, 2022 39.34 1.67 4.43% 37.67 39.60 37.66
Jun 1, 2022 37.96 -0.49 -1.27% 38.45 39.53 37.08

TravelCenters of America LLC Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 10845 7336.84 4846.04 6117.36 6231.44
Revenue 10845 7336.84 4846.04 6117.36 6231.44
Cost of Revenue, Total 8979.31 5753.19 3436.36 4594.77 4786.95
Gross Profit 1865.68 1583.65 1409.68 1522.59 1444.48
Total Operating Expense 10592.1 7213.79 4835.26 6052.08 6204.72
Selling/General/Admin. Expenses, Total 1507.15 1362.08 1266.82 1357.05 1334.59
Depreciation / Amortization 109.698 96.507 127.789 100.26 83.179
Unusual Expense (Income) 2.784 4.288
Operating Income 252.889 123.05 10.776 65.284 26.716
Interest Income (Expense), Net Non-Operating -46.339 -47.593 -29.091 -29.263 -26.976
Net Income Before Taxes 215.669 75.454 -21.082 37.808 -4.347
Net Income After Taxes 164.06 58.191 -14.904 33.469 -2.773
Minority Interest 0 0.333 1.005 -0.124 -0.149
Net Income Before Extra. Items 164.06 58.524 -13.899 33.345 -2.922
Net Income 164.06 58.524 -13.899 33.345 -120.553
Total Adjustments to Net Income -5.115 -1.349 -0.422 -1.301 0.125
Income Available to Common Excl. Extra. Items 158.945 57.175 -14.321 32.044 -2.797
Income Available to Common Incl. Extra. Items 158.945 57.175 -14.321 32.044 -120.428
Diluted Net Income 158.945 57.175 -14.321 32.044 -120.428
Diluted Weighted Average Shares 14.397 14.252 10.961 7.783 7.6488
Diluted EPS Excluding Extraordinary Items 11.0401 4.01172 -1.30654 4.11718 -0.36568
Diluted Normalized EPS 11.0401 4.16237 -1.05226 4.11718 -0.36568
Other, Net 9.119 -0.003 -2.767 1.787 -4.087
Total Extraordinary Items 0 -117.631
Other Operating Expenses, Total -4.056 -0.771
Dec 2022 Sep 2022 Jun 2022 Mar 2022 Dec 2021
Total revenue 2657.79 2811.08 3079.05 2297.07 2033.52
Revenue 2657.79 2811.08 3079.05 2297.07 2033.52
Cost of Revenue, Total 2171.82 2335.8 2586.71 1884.98 1628.85
Gross Profit 485.966 475.279 492.338 412.093 404.676
Total Operating Expense 2588.32 2753.93 2984.82 2265.03 2006.29
Selling/General/Admin. Expenses, Total 389.322 388.168 371.656 357.999 350.521
Depreciation / Amortization 29.438 29.267 26.762 24.231 24.263
Unusual Expense (Income) 4.288
Operating Income 69.467 57.152 94.225 32.045 27.237
Interest Income (Expense), Net Non-Operating -9.277 -9.8 -11.173 -11.53 -11.82
Other, Net 1.348 1.358 1.216 0.638 0.857
Net Income Before Taxes 61.538 48.71 84.268 21.153 16.274
Net Income After Taxes 46.801 36.975 63.98 16.304 12.787
Minority Interest 0 0 0 0 0
Net Income Before Extra. Items 46.801 36.975 63.98 16.304 12.787
Net Income 46.801 36.975 63.98 16.304 12.787
Total Adjustments to Net Income -1.465 -1.144 -1.987 -0.519 -0.301
Income Available to Common Excl. Extra. Items 45.336 35.831 61.993 15.785 12.486
Income Available to Common Incl. Extra. Items 45.336 35.831 61.993 15.785 12.486
Diluted Net Income 45.336 35.831 61.993 15.785 12.486
Diluted Weighted Average Shares 14.439 14.396 14.38 14.378 14.291
Diluted EPS Excluding Extraordinary Items 3.13983 2.48896 4.31106 1.09786 0.8737
Dividends per Share - Common Stock Primary Issue 0 0 0
Diluted Normalized EPS 3.13983 2.48896 4.31106 1.09786 1.10945
Other Operating Expenses, Total -2.261 0.692 -0.305 -2.182 -1.633
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total Current Assets 877.184 785.916 419.769 643.676 398.518
Cash and Short Term Investments 536.002 483.151 17.206 314.387 35.526
Cash & Equivalents 536.002 483.151 17.206 314.387 35.526
Total Receivables, Net 111.392 94.429 173.496 97.449 125.501
Accounts Receivable - Trade, Net 111.392 94.429 173.496 97.449 125.501
Total Inventory 191.843 172.83 196.611 196.721 187.237
Other Current Assets, Total 37.947 35.506 32.456 35.119 50.254
Total Assets 3508.5 3443.86 3230.9 1442.11 1618.13
Property/Plant/Equipment, Total - Net 2533.28 2536.67 2686.5 628.537 613.196
Property/Plant/Equipment, Total - Gross 3255.28 3188.92 3271.69 1143.4 1057.16
Accumulated Depreciation, Total -722.007 -652.247 -585.19 -514.867 -443.964
Goodwill, Net 22.213 22.213 25.259 25.259 25.259
Intangibles, Net 10.934 11.529 20.707 22.887 25.194
Other Long Term Assets, Total 40.238 59.805 48.159 81.684 555.965
Total Current Liabilities 519.278 445.197 389.965 288.691 327.298
Accounts Payable 206.42 158.075 147.44 120.914 155.581
Accrued Expenses 279.342 257.152 214.029 127.849 130.335
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 7.18 1.032 0.863
Other Current Liabilities, Total 26.336 29.97 28.496 38.896 40.519
Total Liabilities 2805.65 2803.29 2659.84 993.211 1053.08
Total Long Term Debt 563.995 525.397 329.321 342.893 342.621
Long Term Debt 524.781 525.397 329.321 320.528 319.634
Capital Lease Obligations 39.214 22.365 22.987
Minority Interest 0 0.413 1.483 1.495 1.447
Other Liabilities, Total 1722.38 1832.29 1939.07 360.132 381.718
Total Equity 702.853 640.566 571.053 448.897 565.048
Common Stock 0.014 0.014 0.008 695.315 690.688
Retained Earnings (Accumulated Deficit) -82.56 -141.084 -127.185 -246.773 -126.22
Other Equity, Total -0.198 -0.205 -0.172 0.355 0.58
Total Liabilities & Shareholders’ Equity 3508.5 3443.86 3230.9 1442.11 1618.13
Total Common Shares Outstanding 14.839 14.574 8.307 8.0804 7.9968
Long Term Investments 24.656 27.725 30.5 40.065
Additional Paid-In Capital 785.597 781.841 698.402
Mar 2022 Dec 2021 Sep 2021 Jun 2021 Mar 2021
Total Current Assets 1003.56 877.184 962.185 914.215 840.17
Cash and Short Term Investments 544.153 536.002 621.103 583.251 520.028
Cash & Equivalents 544.153 536.002 621.103 583.251 520.028
Total Receivables, Net 201.809 111.392 149.41 142.835 129.087
Accounts Receivable - Trade, Net 201.809 111.392 149.41 142.835 129.087
Total Inventory 221.41 191.843 169.543 165.92 163.397
Other Current Assets, Total 36.186 37.947 22.129 22.209 27.658
Total Assets 3636.38 3508.5 3576.2 3537.51 3496.34
Property/Plant/Equipment, Total - Net 2537.72 2533.28 2497.4 2506.05 2533.58
Goodwill, Net 22.213 22.213 22.213 22.213 22.213
Intangibles, Net 10.811 10.934 11.06 11.209 11.365
Other Long Term Assets, Total 62.077 64.894 83.343 83.821 89.018
Total Current Liabilities 651.454 519.278 573.339 540.183 503.673
Accounts Payable 334.454 206.42 249.982 229.207 213.157
Accrued Expenses 120.903 118.005 116.046 114.023 111.866
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 4.503 1.487 1.373 1.158
Other Current Liabilities, Total 191.594 194.853 205.824 195.58 177.492
Total Liabilities 2916.05 2805.65 2887.95 2872.13 2860.92
Total Long Term Debt 563.597 563.995 551.271 551.768 552.275
Long Term Debt 524.63 524.781 524.925 525.07 525.229
Capital Lease Obligations 38.967 39.214 26.346 26.698 27.046
Minority Interest 0 0 0 0.409
Other Liabilities, Total 1701 1722.38 1763.34 1780.18 1804.57
Total Equity 720.332 702.853 688.251 665.382 635.422
Common Stock 0.014 0.014 0.014 0.014 0.014
Additional Paid-In Capital 786.798 785.597 783.778 783.137 782.524
Retained Earnings (Accumulated Deficit) -66.256 -82.56 -95.347 -117.547 -146.903
Other Equity, Total -0.224 -0.198 -0.194 -0.222 -0.213
Total Liabilities & Shareholders’ Equity 3636.38 3508.5 3576.2 3537.51 3496.34
Total Common Shares Outstanding 14.837 14.839 14.579 14.581 14.564
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Net income/Starting Line 58.191 -14.904 33.469 -120.404 9.283
Cash From Operating Activities 154.461 244.408 82.467 81.606 35.674
Cash From Operating Activities 96.507 127.789 100.26 83.179 89.379
Deferred Taxes 16.949 -5.418 5.71 0.403 -81.243
Non-Cash Items -25.155 -21.486 -21.406 111.18 17.348
Cash Taxes Paid 0.682 -1.21 -1.67 -0.228 0.345
Cash Interest Paid 44.249 28.039 27.819 29.25 31.611
Changes in Working Capital 7.969 158.427 -35.566 7.248 0.907
Cash From Investing Activities -93.914 -55.155 -386.417 199.299 -61.885
Capital Expenditures -104.852 -54.386 -393.592 -144.781 -124.055
Other Investing Cash Flow Items, Total 10.938 -0.769 7.175 344.08 62.17
Cash From Financing Activities -7.706 276.641 6.673 -2.402 0.841
Financing Cash Flow Items -3.048 -1.805 -0.881 -0.101 -0.083
Issuance (Retirement) of Stock, Net -1.994 78.23 -0.346 -1.744 -1.175
Issuance (Retirement) of Debt, Net -2.664 200.216 7.9 -0.557 2.099
Foreign Exchange Effects 0.01 0.051 0.096 -0.198 0.14
Net Change in Cash 52.851 465.945 -297.181 278.305 -25.23
Mar 2022 Dec 2021 Sep 2021 Jun 2021 Mar 2021
Net income/Starting Line 16.304 58.191 45.404 23.204 -5.743
Cash From Operating Activities 59.119 154.461 181.286 124.074 51.576
Cash From Operating Activities 24.231 96.507 72.244 47.968 23.829
Deferred Taxes 4.804 16.949 13.336 6.748 -0.85
Non-Cash Items -7.907 -25.155 -18.169 -12.506 -6.292
Cash Taxes Paid 0.155 0.682 0.074 0.027 0.675
Cash Interest Paid 10.984 44.249 33.069 21.84 10.742
Changes in Working Capital 21.687 7.969 68.471 58.66 40.632
Cash From Investing Activities -49.22 -93.914 -39.181 -21.195 -13.522
Capital Expenditures -50.053 -104.852 -46.782 -27.409 -12.277
Other Investing Cash Flow Items, Total 0.833 10.938 7.601 6.214 -1.245
Cash From Financing Activities -1.784 -7.706 -4.217 -2.841 -1.233
Financing Cash Flow Items -1.071 -3.048 -2.109 -1.754 -0.659
Issuance (Retirement) of Stock, Net -0.047 -1.994 -0.11 -0.087 -0.074
Issuance (Retirement) of Debt, Net -0.666 -2.664 -1.998 -1 -0.5
Foreign Exchange Effects 0.036 0.01 0.064 0.062 0.056
Net Change in Cash 8.151 52.851 137.952 100.1 36.877
Investor Name Investor Type Percent Outstanding Shares Held Shares change Holdings Date Turnover Rating
Service Properties Trust Corporation 7.8456 1184797 1184797 2023-02-15
Nantahala Capital Management, LLC Hedge Fund 6.8298 1031394 -65807 2022-12-31 MED
BlackRock Institutional Trust Company, N.A. Investment Advisor 5.5935 844699 40215 2022-12-31 LOW
Portnoy (Adam D) Individual Investor 4.3804 661505 -1 2023-02-15 LOW
AWM Investment Company, Inc. Investment Advisor/Hedge Fund 4.3394 655307 -50000 2022-12-31 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 4.2982 649089 -13297 2022-12-31 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 3.4473 520597 -610 2022-12-31 LOW
Goldman Sachs & Company, Inc. Research Firm 2.927 442020 -41580 2022-12-31 MED
Portolan Capital Management, L.L.C. Investment Advisor/Hedge Fund 2.6395 398608 -213397 2022-12-31 HIGH
Pertchik (Jonathan M) Individual Investor 2.0586 310872 94517 2022-12-15 LOW
HOOPP Investment Management Pension Fund 1.9866 300000 0 2022-12-31 HIGH
State Street Global Advisors (US) Investment Advisor/Hedge Fund 1.9407 293077 22896 2022-12-31 LOW
Bridgeway Capital Management, LLC Investment Advisor 1.7979 271511 -8500 2022-12-31 LOW
Geode Capital Management, L.L.C. Investment Advisor/Hedge Fund 1.5873 239711 10609 2022-12-31 LOW
Millennium Management LLC Hedge Fund 1.5472 233653 100762 2022-12-31 HIGH
Charles Schwab Investment Management, Inc. Investment Advisor 1.4892 224884 973 2022-12-31 LOW
Mesirow Institutional Investment Management, Inc. Investment Advisor/Hedge Fund 1.4788 223315 11860 2022-12-31 HIGH
Renaissance Technologies LLC Hedge Fund 1.2037 181780 42500 2022-12-31 HIGH
American Century Investment Management, Inc. Investment Advisor/Hedge Fund 1.1176 168770 52915 2022-12-31 LOW
Arrowstreet Capital, Limited Partnership Investment Advisor/Hedge Fund 1.0086 152317 43826 2022-12-31 MED

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TravelCenters of America LLC Company profile

About Travelcenters of America Inc

TravelCenters of America Inc. operates, or franchises, travel centers, standalone truck service facilities and a standalone restaurant. The Company also collects rents, royalties and other fees from its tenants and franchisees. Its travel centers offer a range of products and services, including diesel fuel and gasoline, as well as nonfuel products and services, such as a range of truck repair and maintenance services, diesel exhaust fluid (DEF), full-service restaurants (FSRs), quick service restaurants (QSRs), and various customer amenities. Its travel centers are operated under the TravelCenters of America, TA, TA Express, Petro Stopping Centers and Petro brand names. Its customers include trucking fleets and their drivers, independent truck drivers, highway and local motorists and casual diners. Its business includes approximately 276 travel centers in 44 states in the United States and the province of Ontario, Canada, primarily along the United States interstate highway system.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Travelcenters of America Inc revenues increased 51% to $7.34B. Net income applicable to common stockholders totaled $57.2M vs. loss of $14.3M. Revenues reflect Store and retail services segment increase of 14% to $751.1M, Truck service segment increase of 11% to $747.1M. Net Income reflects Other Income (Expense), net - Balanc decrease of 100% to $3K (expense).

Equity composition

Common shares, no Par. 02/11, 18,683,666 auth., 18,016,196 issd. Insiders own 16.52%.

Industry: Gasoline Stations

24601 Center Ridge Rd
44145-5634

Income Statement

  • Annual
  • Quarterly

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