交易 China Everbright - U9Esg CFD
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交易条件
价差 | 0.0024 | ||||||||
多头隔夜费
Long position overnight fee
前往平台 | -0.021226% | ||||||||
空头隔夜费
Short position overnight fee
前往平台 | -0.000692% | ||||||||
隔夜费时间 | 21:00 (UTC) | ||||||||
最小交易量 | 1 | ||||||||
货币 | SGD | ||||||||
保证金 | 5% | ||||||||
上市交易所 | Singapore | ||||||||
交易费 | 0% |
*Information provided by Capital.com
China Everbright Water Ltd 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.
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Date | 平仓 | Change | Change (%) | 開倉 | High | Low |
---|---|---|---|---|---|---|
Sep 25, 2023 | 0.2042 | 0.0000 | 0.00% | 0.2042 | 0.2042 | 0.1992 |
Sep 22, 2023 | 0.2092 | 0.0050 | 2.45% | 0.2042 | 0.2092 | 0.2042 |
Sep 21, 2023 | 0.2092 | 0.0000 | 0.00% | 0.2092 | 0.2092 | 0.2092 |
Sep 20, 2023 | 0.2142 | 0.0000 | 0.00% | 0.2142 | 0.2142 | 0.2092 |
Sep 19, 2023 | 0.2142 | 0.0050 | 2.39% | 0.2092 | 0.2142 | 0.2092 |
Sep 15, 2023 | 0.2142 | -0.0050 | -2.28% | 0.2192 | 0.2192 | 0.2142 |
Sep 14, 2023 | 0.2142 | 0.0050 | 2.39% | 0.2092 | 0.2142 | 0.2092 |
Sep 11, 2023 | 0.2142 | -0.0050 | -2.28% | 0.2192 | 0.2192 | 0.2142 |
Sep 4, 2023 | 0.2092 | 0.0000 | 0.00% | 0.2092 | 0.2092 | 0.2092 |
Aug 24, 2023 | 0.2092 | 0.0000 | 0.00% | 0.2092 | 0.2142 | 0.2092 |
Aug 22, 2023 | 0.2192 | 0.0000 | 0.00% | 0.2192 | 0.2192 | 0.2142 |
Aug 21, 2023 | 0.2242 | 0.0000 | 0.00% | 0.2242 | 0.2242 | 0.2242 |
Aug 18, 2023 | 0.2242 | 0.0000 | 0.00% | 0.2242 | 0.2242 | 0.2242 |
Aug 15, 2023 | 0.2242 | -0.0050 | -2.18% | 0.2292 | 0.2292 | 0.2242 |
Aug 14, 2023 | 0.2292 | 0.0050 | 2.23% | 0.2242 | 0.2341 | 0.2242 |
Aug 11, 2023 | 0.2242 | 0.0000 | 0.00% | 0.2242 | 0.2292 | 0.2242 |
Aug 10, 2023 | 0.2242 | 0.0100 | 4.67% | 0.2142 | 0.2242 | 0.2092 |
Aug 8, 2023 | 0.2142 | 0.0050 | 2.39% | 0.2092 | 0.2142 | 0.2092 |
Aug 7, 2023 | 0.2092 | 0.0000 | 0.00% | 0.2092 | 0.2092 | 0.2092 |
Aug 4, 2023 | 0.2142 | 0.0050 | 2.39% | 0.2092 | 0.2142 | 0.2092 |
China Everbright Events
时间(协调世界时) (UTC) | 国家 | 事件 |
---|---|---|
沒有活動安排 |
- 年度
- 每季度
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
总收入 | 6727.97 | 6912.37 | 5663.29 | 5550.77 | 4768.32 |
收入 | 6727.97 | 6912.37 | 5663.29 | 5550.77 | 4768.32 |
收入成本,共计 | 4163.98 | 4110.78 | 3462.76 | 3658.33 | 3144.54 |
毛利 | 2563.99 | 2801.59 | 2200.54 | 1892.44 | 1623.78 |
总营业费用 | 4840.87 | 4804.42 | 3851.24 | 4021.37 | 3443.52 |
销售/一般/行政费用,总计 | 710.828 | 661.818 | 396.792 | 419.22 | 340.955 |
Depreciation / Amortization | |||||
利息费用(收入) - 净运营 | 15.785 | 57.615 | 45.817 | ||
异常费用(收入) | 0 | 36.26 | |||
Other Operating Expenses, Total | -49.723 | -62.059 | -54.123 | -56.183 | -41.974 |
营业收入 | 1887.1 | 2107.96 | 1812.05 | 1529.4 | 1324.8 |
利息收入(费用),非经营净值 | -505.087 | -420.061 | -328.764 | -334.325 | -273.058 |
税前净收入 | 1382.01 | 1687.89 | 1483.29 | 1195.08 | 1051.74 |
税后净收入 | 1066.91 | 1282.99 | 1086.36 | 884.729 | 736.755 |
少数股东权益 | -42.01 | -82.657 | -62.093 | -51.246 | -60.296 |
未计算非常项目前的净收益 | 1024.9 | 1200.33 | 1024.27 | 833.483 | 676.459 |
净收入 | 1024.9 | 1200.33 | 1024.27 | 833.483 | 676.459 |
普通股股东可获收益 (不含非经常性项目) | 1010.57 | 1200.33 | 1024.27 | 833.483 | 676.459 |
普通股股东可获收益 (含非經常性項目) | 1010.57 | 1200.33 | 1024.27 | 833.483 | 676.459 |
摊薄净收入 | 1010.57 | 1200.33 | 1024.27 | 833.483 | 676.459 |
摊薄后加权平均股 | 2860.88 | 2860.88 | 2860.88 | 2772.1 | 2644.32 |
扣除特别项目的每股摊薄盈利 | 0.35324 | 0.41957 | 0.35803 | 0.30067 | 0.25582 |
Dividends per Share - Common Stock Primary Issue | 0.10725 | 0.12714 | 0.10036 | 0.07649 | 0.0569 |
每股正常摊薄盈利 | 0.3571 | 0.43109 | 0.35813 | 0.30092 | 0.25593 |
Total Adjustments to Net Income | -14.334 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
总收入 | 3082 | 3249.03 | 3478.94 | 3799.44 | 3112.94 |
收入 | 3082 | 3249.03 | 3478.94 | 3799.44 | 3112.94 |
收入成本,共计 | 1672.26 | 1905.01 | 2258.98 | 2237.4 | 1873.38 |
毛利 | 1409.74 | 1344.02 | 1219.96 | 1562.04 | 1239.55 |
总营业费用 | 1917.37 | 2282.98 | 2557.89 | 2681.43 | 2122.99 |
销售/一般/行政费用,总计 | 261.413 | 408.448 | 322.235 | 421.396 | 249.746 |
Other Operating Expenses, Total | -24.887 | -30.473 | -23.32 | 22.636 | -0.144 |
营业收入 | 1164.63 | 966.048 | 921.049 | 1118.01 | 989.949 |
利息收入(费用),非经营净值 | -284.702 | -275.671 | -229.416 | -213.43 | -206.631 |
税前净收入 | 879.931 | 690.377 | 691.633 | 904.576 | 783.318 |
税后净收入 | 674.854 | 516.372 | 550.537 | 705.852 | 577.134 |
少数股东权益 | -30.366 | -12.831 | -29.179 | -53.701 | -28.956 |
未计算非常项目前的净收益 | 644.488 | 503.541 | 521.358 | 652.151 | 548.178 |
净收入 | 644.488 | 503.541 | 521.358 | 652.151 | 548.178 |
普通股股东可获收益 (不含非经常性项目) | 632.188 | 490.509 | 520.056 | 652.151 | 548.178 |
普通股股东可获收益 (含非經常性項目) | 632.188 | 490.509 | 520.056 | 652.151 | 548.178 |
摊薄净收入 | 632.188 | 490.509 | 520.056 | 652.151 | 548.178 |
摊薄后加权平均股 | 2860.88 | 2860.88 | 2860.88 | 2860.88 | 2860.88 |
扣除特别项目的每股摊薄盈利 | 0.22098 | 0.17145 | 0.18178 | 0.22795 | 0.19161 |
Dividends per Share - Common Stock Primary Issue | 0.06549 | 0.05013 | 0.05533 | 0.06877 | 0.0583 |
每股正常摊薄盈利 | 0.22181 | 0.17141 | 0.18581 | 0.22835 | 0.19307 |
Total Adjustments to Net Income | -12.3 | -13.032 | -1.302 | ||
利息费用(收入) - 净运营 | 8.582 |
- 年度
- 每季度
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
流动资产总额 | 8931.54 | 7431.77 | 5460.06 | 4916.63 | 4765.26 |
现金和短期投资 | 3066.71 | 2503.88 | 1702.85 | 2052.25 | 2253.92 |
Cash | 2844.99 | 2281 | 1702.85 | 2052.25 | 1706.87 |
应收账款总额,净额 | 5655.99 | 4579.67 | 3460.51 | 2718.45 | 2324.19 |
應收賬款 - 貿易,淨額 | 3361.6 | 2296.65 | 1268.07 | 905.929 | 671.065 |
總庫存 | 85.82 | 70.189 | 93.641 | 37.948 | 40.436 |
預付的費用 | 122.104 | 277.048 | 186.376 | 85.425 | 125.017 |
其他流動資産,總計 | 0.917 | 0.985 | 16.675 | 22.553 | 21.702 |
總資産 | 33446.2 | 32969.3 | 26907.5 | 22683 | 19584.4 |
物業/廠房/設備,總計 - 淨額 | 1084.79 | 1147.9 | 169.14 | 167.353 | 144.779 |
物業/廠房/設備,總計 - 總額 | 1297.17 | 1317.91 | 288.301 | 271.491 | 238.192 |
累計折舊,總計 | -212.386 | -170.008 | -119.161 | -104.138 | -93.413 |
商譽,淨額 | 1400.95 | 1531.58 | 1295.47 | 1213.51 | 1242.71 |
無形資産,淨額 | 2369.86 | 2280.92 | 1880.92 | 1658.44 | 1536.17 |
長期投資 | 22.492 | 48.821 | 463.423 | 468.771 | 3.011 |
應收票據 - 長期 | 19633.3 | 20494.7 | 17638.5 | 14258.3 | 11887.1 |
流動負債總額 | 8918.53 | 6691.21 | 4865.03 | 4557.5 | 4100.58 |
應付賬款 | 2278.84 | 2307.62 | 1796.45 | 1959.85 | 1472.38 |
Payable/Accrued | 710.178 | 741.42 | 608.906 | 370.06 | 271.82 |
應付票據/短期債務 | 0 | 0 | 0 | 0 | 0 |
長期債務的當前部分/資本租賃 | 5689.09 | 3397.26 | 2255.06 | 2020.09 | 2160.4 |
其他流動負債,總計 | 111.509 | 119.274 | 118.87 | 122.645 | 131.205 |
負債總額 | 21671.7 | 21099.2 | 16373.2 | 13873 | 11601.2 |
長期債務總額 | 9576.05 | 11051.1 | 8834.83 | 7080.52 | 5440.38 |
長期債務 | 9575.7 | 11049.9 | 8831.46 | 7069.14 | 5440.38 |
遞延所得稅 | 1950.69 | 2063.74 | 1801.82 | 1496.26 | 1379.74 |
少數股權 | 1226.41 | 1293.15 | 871.566 | 738.683 | 680.507 |
其他負債,總計 | |||||
總權益 | 11774.5 | 11870.1 | 10534.3 | 8810.07 | 7983.19 |
普通股 | 2860.88 | 2860.88 | 2860.88 | 2860.88 | 2676.06 |
額外實收資本 | 2829.07 | 2829.07 | 2829.07 | 2829.07 | 2562.48 |
留存收益(累計赤字) | 6240.48 | 5581.55 | 4719.14 | 3898.09 | 3247.27 |
其他權益,總計 | -155.947 | 598.589 | 125.211 | -777.967 | -502.623 |
總負債和股東權益 | 33446.2 | 32969.3 | 26907.5 | 22683 | 19584.4 |
已發行普通股總數 | 2860.88 | 2860.88 | 2860.88 | 2860.88 | 2676.06 |
短期投资 | 221.717 | 222.88 | 0 | 547.05 | |
預提費用 | 128.912 | 125.637 | 85.745 | 84.858 | 64.776 |
其他長期資産,總計 | 3.253 | 33.555 | 0 | 5.372 | |
資本租賃義務 | 0.351 | 1.168 | 3.368 | 11.379 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
流动资产总额 | 8931.54 | 9218.36 | 7431.77 | 6627.75 | 5460.06 |
现金和短期投资 | 3067.62 | 3779.18 | 2504.87 | 2285.61 | 1719.53 |
现金等价物 | 2845.91 | 3541.47 | 2281.99 | 2065.77 | 1719.53 |
短期投资 | 221.717 | 237.716 | 222.88 | 219.839 | |
应收账款总额,净额 | 5778.1 | 5378.53 | 4856.72 | 4277.13 | 3646.88 |
應收賬款 - 貿易,淨額 | 3767.7 | 3367.24 | 2866.25 | 2371.86 | 1965.7 |
總庫存 | 85.82 | 60.638 | 70.189 | 65.004 | 93.641 |
總資産 | 33446.2 | 34514.7 | 32969.3 | 30601.7 | 26907.5 |
物業/廠房/設備,總計 - 淨額 | 1084.79 | 1117.61 | 1147.9 | 1154.55 | 169.14 |
商譽,淨額 | 1400.95 | 1469.56 | 1531.58 | 1518.88 | 1295.47 |
無形資産,淨額 | 2369.86 | 2538.63 | 2280.92 | 2026.64 | 1880.92 |
長期投資 | 22.492 | 24.64 | 48.821 | 232.177 | 463.423 |
應收票據 - 長期 | 19633.3 | 20141.3 | 20522.1 | 19034.3 | 17638.5 |
其他長期資産,總計 | 3.253 | 4.645 | 6.127 | 7.349 | |
流動負債總額 | 8918.53 | 6535.39 | 6691.21 | 6156.92 | 4865.03 |
Payable/Accrued | 710.178 | 599.755 | 3215.67 | 2866.74 | 2540.94 |
應付票據/短期債務 | 0 | 0 | 0 | 0 | 0 |
長期債務的當前部分/資本租賃 | 5689.09 | 3417.27 | 3397.26 | 3235.84 | 2255.06 |
其他流動負債,總計 | 111.509 | 122.822 | 78.274 | 54.332 | 69.029 |
負債總額 | 21671.7 | 22216.6 | 21099.2 | 19360.3 | 16373.2 |
長期債務總額 | 9576.05 | 12393.4 | 11051.1 | 10010.9 | 8834.83 |
長期債務 | 9575.7 | 12392.6 | 11049.9 | 10008.6 | 8831.46 |
資本租賃義務 | 0.351 | 0.727 | 1.168 | 2.285 | 3.368 |
遞延所得稅 | 1950.69 | 1993.42 | 2063.74 | 1949.99 | 1801.82 |
少數股權 | 1226.41 | 1294.48 | 1293.15 | 1242.46 | 871.566 |
總權益 | 11774.5 | 12298.1 | 11870.1 | 11241.4 | 10534.3 |
普通股 | 2860.88 | 2860.88 | 2860.88 | 2860.88 | 2860.88 |
額外實收資本 | 2829.07 | 2829.07 | 2829.07 | 2829.07 | 2829.07 |
留存收益(累計赤字) | 6240.48 | 5906.14 | 5581.55 | 5094.05 | 4719.14 |
其他權益,總計 | -155.947 | 702.018 | 598.589 | 457.372 | 125.211 |
總負債和股東權益 | 33446.2 | 34514.7 | 32969.3 | 30601.7 | 26907.5 |
已發行普通股總數 | 2860.88 | 2860.88 | 2860.88 | 2860.88 | 2860.88 |
應付賬款 | 2278.84 | 2259.26 | |||
預提費用 | 128.912 | 136.274 |
- 年度
- 每季度
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
净收入/起跑线 | 1382.01 | 1687.89 | 1483.29 | 1195.08 | 1051.74 |
经营活动产生的现金 | -638.712 | -669.141 | -1322.34 | -1058.12 | -1015.65 |
经营活动产生的现金 | 76.667 | 62.913 | 26.762 | 23.55 | 16.736 |
Amortization | 177.231 | 59.126 | 72.536 | 73.148 | 72.349 |
非现金物品 | 672.845 | 691.866 | 415.116 | 349.913 | 332.655 |
Cash Taxes Paid | 251.036 | 199.604 | 207.594 | 135.257 | 148.331 |
已付现金利息 | 503.664 | 380.488 | 334.334 | 332.973 | 268.257 |
营运资金的变化 | -2947.47 | -3170.94 | -3320.04 | -2699.81 | -2489.13 |
投资活动产生的现金 | -353.944 | -1136.86 | -165.974 | -134.018 | -53.541 |
资本支出 | -116.979 | -29.744 | -18.478 | -17.885 | -11.176 |
其他投资现金流量项目,总计 | -236.965 | -1107.12 | -147.496 | -116.133 | -42.365 |
融资活动产生的现金 | 1785.38 | 2321.71 | 1033.62 | 1563.19 | 781.806 |
融资现金流项目 | 309.67 | -404.927 | 15.201 | -330.77 | -319.687 |
Total Cash Dividends Paid | -356.358 | -338.546 | -214.002 | -29.279 | -31.687 |
股票的发行(报废),净额 | 0 | 310.87 | |||
债务的发行(退还),净额 | 1832.07 | 3065.18 | 1232.42 | 1612.37 | 1133.18 |
外汇效应 | -227.821 | 62.441 | 105.302 | -25.673 | -80.161 |
现金净变化 | 564.906 | 578.146 | -349.395 | 345.379 | -367.543 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Net income/Starting Line | 1382.01 | 691.633 | 1687.89 | 783.318 | 1483.29 |
Cash From Operating Activities | -638.712 | -519.813 | -669.141 | -385.438 | -1322.34 |
Cash From Operating Activities | 76.667 | 36.244 | 62.913 | 27.682 | 26.762 |
Amortization | 177.231 | 82.098 | 59.126 | 35.592 | 72.536 |
Non-Cash Items | 672.845 | 468.639 | 691.866 | 270.801 | 415.116 |
Cash Taxes Paid | 251.036 | 120.618 | 199.604 | 120.991 | 207.594 |
Cash Interest Paid | 503.664 | 227.633 | 380.488 | 144.09 | 334.334 |
Changes in Working Capital | -2947.47 | -1798.43 | -3170.94 | -1502.83 | -3320.04 |
Cash From Investing Activities | -353.944 | -248.009 | -1136.86 | -930.692 | -165.974 |
Capital Expenditures | -116.979 | -45.986 | -29.744 | -8.514 | -18.478 |
Other Investing Cash Flow Items, Total | -236.965 | -202.023 | -1107.12 | -922.178 | -147.496 |
Cash From Financing Activities | 1785.38 | 2313.46 | 2321.71 | 1635.51 | 1033.62 |
Financing Cash Flow Items | 309.67 | 603.428 | -404.927 | -151.083 | 15.201 |
Total Cash Dividends Paid | -356.358 | -195.032 | -338.546 | -173.631 | -214.002 |
Issuance (Retirement) of Stock, Net | 0 | ||||
Issuance (Retirement) of Debt, Net | 1832.07 | 1905.06 | 3065.18 | 1960.22 | 1232.42 |
Foreign Exchange Effects | -227.821 | -286.115 | 62.441 | 41.716 | 105.302 |
Net Change in Cash | 564.906 | 1259.52 | 578.146 | 361.097 | -349.395 |
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关于 China Everbright
中国光大水务有限公司是一家位于中国的投资控股公司,主要从事水环境治理业务。 公司主要从事海绵城市建设、流域生态修复、污水处理、供水、回用水、污水源热泵、污泥处理处置、水环境技术研发和工程建设等业务。 公司在国内市场经营业务,包括北京、江苏、山东、陕西、河南、湖北、广西壮族自治区、辽宁和内蒙古自治区。
Industry: | Sewage Treatment Facilities |
福田区深南大道1003号东方新天地广场a座26楼
SHENZHEN
GUANGDONG 518000
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