CFD 属于复杂的高风险金融工具,其杠杆作用可能导致投资者迅速亏损。 84% 的散户投资者因进行 CFD 交易遭受资金损失。 请您谨慎考虑自己是否了解 CFD 操作,以及是否能够接受高额亏损的风险。

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交易 Eiffage - FGR CFD

98.70
0.2%
0.44
最低: 97.54
最高: 98.94
Market Trading Hours* (UTC) Opens on Monday at 08:01

Mon - Fri: 08:01 - 16:30

  • 概括
  • 历史数据
  • 活动
  • 收入报表
  • 资产负债表
  • 现金流
  • 所有权
交易条件
价差 0.44
多头隔夜费

Long position overnight fee


Margin. Your investment $1,000.00
隔夜费用 -0.024161 %
Charges from borrowed part ($-0.97)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

前往平台
-0.024161%
空头隔夜费

Short position overnight fee


Margin. Your investment $1,000.00
隔夜费用 -0.020283 %
Charges from borrowed part ($-0.81)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

前往平台
-0.020283%
隔夜费时间 22:00 (UTC)
最小交易量 1
货币 EUR
保证金 20%
上市交易所 France
交易费 0%

*Information provided by Capital.com

Eiffage SA ESG Risk Ratings

High Medium Low Negligible

‘A’ score indicates excellent relative ESG performance and high degree of transparency in reporting material ESG data publicly

关键数据
前收盘价* 98.9
开盘价* 98.02
1 年变化* 3.01%
日范围* 97.54 - 98.94
52 周范围 78.22-100.05
平均交易量(10 天) 156.28K
平均交易量(3 个月) 3.30M
市值 9.73B
市盈率 11.02
流通股 95.34M
收入 20.05B
EPS 9.00
股息(收益率 %) 3.12374
贝塔 1.29
下一个财报发布日期 Feb 21, 2023

所有数据都是由Refinitiv提供的, 除了标有星号的数据, 这是*由 Capital.com 提供的数据

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date 平倉 Change Change (%) 開倉 High Low
Feb 3, 2023 98.70 0.54 0.55% 98.16 99.02 97.50
Feb 2, 2023 98.90 -0.82 -0.82% 99.72 99.92 98.46
Feb 1, 2023 99.06 0.84 0.86% 98.22 99.36 98.12
Jan 31, 2023 97.48 -0.34 -0.35% 97.82 98.10 97.40
Jan 30, 2023 97.88 0.00 0.00% 97.88 98.52 97.68
Jan 27, 2023 98.26 -1.06 -1.07% 99.32 99.32 98.12
Jan 26, 2023 98.66 1.24 1.27% 97.42 98.80 96.62
Jan 25, 2023 97.28 -1.58 -1.60% 98.86 99.10 97.28
Jan 24, 2023 98.40 0.82 0.84% 97.58 98.68 97.56
Jan 23, 2023 97.36 -0.30 -0.31% 97.66 97.68 96.78
Jan 20, 2023 97.26 0.04 0.04% 97.22 97.82 97.08
Jan 19, 2023 96.70 -0.76 -0.78% 97.46 97.58 96.10
Jan 18, 2023 97.56 1.18 1.22% 96.38 97.74 96.28
Jan 17, 2023 95.76 0.22 0.23% 95.54 95.94 94.90
Jan 16, 2023 95.66 -0.04 -0.04% 95.70 96.10 95.38
Jan 13, 2023 94.94 -0.84 -0.88% 95.78 96.26 94.94
Jan 12, 2023 95.52 0.48 0.51% 95.04 95.88 94.40
Jan 11, 2023 94.44 -0.36 -0.38% 94.80 95.34 94.24
Jan 10, 2023 94.80 -0.22 -0.23% 95.02 95.50 94.76
Jan 9, 2023 95.78 0.06 0.06% 95.72 96.56 95.66

Eiffage Events

Time (UTC) Country Event
No events scheduled
View all events
  • 年度
  • 每季度
2016 2017 2018 2019 2020 2021
总收入 14307 15368 16890 18690 16659 19197
收入 14307 15368 16890 18690 16659 19197
收入成本,共计 2484 2838 3044 3257 2910 3191
毛利 11823 12530 13846 15433 13749 16006
总营业费用 12781 13692 15084 16753 15446 17329
销售/一般/行政费用,总计 3667 3747 4050 4295 4239 4545
Depreciation / Amortization 820 841 864 1041 1192 1255
利息费用(收入) - 净运营 -12 -8 -2 -4 4 -2
异常费用(收入) 57 46 40 56 22 27
Other Operating Expenses, Total 5765 6228 7088 8108 7079 8313
营业收入 1526 1676 1806 1937 1213 1868
利息收入(费用),非经营净值 -521 -476 -356 -247 -239 -234
其他,净值 -61 -29 -24 -17 -30 -21
税前净收入 944 1171 1426 1673 944 1613
税后净收入 777 835 965 1113 614 1168
少数股东权益 -302 -287 -336 -388 -239 -391
未计算非常项目前的净收益 475 548 629 725 375 777
净收入 475 548 629 725 375 777
普通股股东可获收益 (不含非经常性项目) 475 548 629 725 375 777
普通股股东可获收益 (含非經常性項目) 475 548 629 725 375 777
摊薄净收入 475 548 629 725 375 777
摊薄后加权平均股 95.3605 97.4521 98.1766 98 98.6842 98.4429
扣除特别项目的每股摊薄盈利 4.9811 5.62327 6.40682 7.39796 3.8 7.8929
Dividends per Share - Common Stock Primary Issue 1.5 2 2.4 0 3 3.1
每股正常摊薄盈利 5.47308 5.95986 6.68254 7.77811 3.945 8.0915
Q2 2021 Q4 2021
总收入 8932 10265
收入 8932 10265
收入成本,共计 1439 1752
毛利 7493 8513
总营业费用 8267 9062
销售/一般/行政费用,总计 2281 2264
Depreciation / Amortization 613 645
异常费用(收入) 14 37
Other Operating Expenses, Total 3920 4364
营业收入 665 1203
利息收入(费用),非经营净值 -114 -121
其他,净值 5 -25
税前净收入 556 1057
税后净收入 415 753
少数股东权益 -155 -236
未计算非常项目前的净收益 260 517
净收入 260 517
普通股股东可获收益 (不含非经常性项目) 260 517
普通股股东可获收益 (含非經常性項目) 260 517
摊薄调整 1.985 -1.985
摊薄净收入 261.985 515.015
摊薄后加权平均股 99.2367 97.6491
扣除特别项目的每股摊薄盈利 2.64 5.27414
Dividends per Share - Common Stock Primary Issue 0 3.1
每股正常摊薄盈利 2.7453 5.54407
  • 年度
  • 每季度
2016 2017 2018 2019 2020 2021
流动资产总额 10863 11740 11550 12707 12993 13211
现金和短期投资 4485 4587 3752 4637 5256 4867
Cash 1781 3142 3293 3991 3703 3678
现金等价物 2685 1395 403 429 1489 1129
短期投资 19 50 56 217 64 60
应收账款总额,净额 5482 6328 6820 7061 6728 7161
Accounts Receivable - Trade, Net 4292 4977 5311 5467 5105 5327
Total Inventory 728 683 740 745 803 873
Prepaid Expenses 168 142 238 264 206 244
Other Current Assets, Total 0 66
Total Assets 29503 30026 30368 32877 33721 33775
Property/Plant/Equipment, Total - Net 1585 1649 1853 2706 2826 2766
Property/Plant/Equipment, Total - Gross 4009 4162 4477 5422 6291 6471
Accumulated Depreciation, Total -2424 -2513 -2624 -2716 -3465 -3705
Goodwill, Net 2945 2995 3219 3703 3408 3483
Intangibles, Net 11583 11363 11186 11086 11853 11901
Long Term Investments 243 265 597 771 727 759
Note Receivable - Long Term 124 96 95 65 76 78
Other Long Term Assets, Total 2160 1918 1868 1839 1838 1577
Total Current Liabilities 10872 11114 11648 13557 12508 12613
Accounts Payable 2921 3098 3529 3967 3860 4018
Accrued Expenses 915 1633 1727 1768 1652 1900
Notes Payable/Short Term Debt 1685 145 123 127 125 83
Current Port. of LT Debt/Capital Leases 1716 2873 2853 4454 3417 2695
Other Current Liabilities, Total 3635 3365 3416 3241 3454 3917
Total Liabilities 25861 25736 25612 27629 28420 28206
Total Long Term Debt 12706 12119 11422 11340 12815 12543
Long Term Debt 12706 12119 11422 10698 12066 11836
Deferred Income Tax 984 881 854 811 949 875
Minority Interest 623 847 879 983 1172 1227
Other Liabilities, Total 676 775 809 938 976 948
Total Equity 3642 4290 4756 5248 5301 5569
Common Stock 392 392 392 392 392 392
Retained Earnings (Accumulated Deficit) 3487 4057 4496 5013 5121 5320
Other Equity, Total -237 -159 -132 -157 -212 -143
Total Liabilities & Shareholders’ Equity 29503 30026 30368 32877 33721 33775
Total Common Shares Outstanding 92.9618 96.1083 96.6475 97.782 96.8435 95.6677
Capital Lease Obligations 642 749 707
Jun 2021 Dec 2021
流动资产总额 12832 13211
现金和短期投资 4263 4867
Cash 3150 3678
现金等价物 1048 1129
短期投资 65 60
应收账款总额,净额 5699 5347
Accounts Receivable - Trade, Net 5602 5327
Total Inventory 924 873
Other Current Assets, Total 1946 2124
Total Assets 33432 33775
Property/Plant/Equipment, Total - Net 2770 2766
Goodwill, Net 3423 3483
Intangibles, Net 11818 11901
Long Term Investments 771 837
Other Long Term Assets, Total 1818 1577
Total Current Liabilities 12569 12613
Accounts Payable 4166 4223
Notes Payable/Short Term Debt 156 83
Current Port. of LT Debt/Capital Leases 3112 2695
Other Current Liabilities, Total 5135 5612
Total Liabilities 28029 28206
Total Long Term Debt 12390 12543
Long Term Debt 11665 11836
Capital Lease Obligations 725 707
Deferred Income Tax 910 875
Minority Interest 1174 1227
Other Liabilities, Total 986 948
Total Equity 5403 5569
Common Stock 401 392
Retained Earnings (Accumulated Deficit) 5198 5320
Other Equity, Total -196 -143
Total Liabilities & Shareholders’ Equity 33432 33775
Total Common Shares Outstanding 99.2367 95.6677
  • 年度
  • 每季度
2016 2017 2018 2019 2020 2021
净收入/起跑线 777 832 965 1113 614 1168
经营活动产生的现金 1167 1334 1599 2067 2361 2740
经营活动产生的现金 737 754 775 1041 1240 1258
非现金物品 749 898 856 866 673 725
Cash Taxes Paid 375 518 471 542 365 421
已付现金利息 631 537 407 263 284 236
营运资金的变化 -1096 -1150 -997 -953 -166 -411
投资活动产生的现金 -858 -598 -1158 -1218 -868 -950
资本支出 -525 -595 -695 -812 -933 -1044
其他投资现金流量项目,总计 -333 -3 -463 -406 65 94
融资活动产生的现金 566 -663 -1260 -131 -716 -2135
融资现金流项目 0 -4 -9 0 -231 -190
Total Cash Dividends Paid -145 -265 -519 -550 -319 -620
股票的发行(报废),净额 56 146 -9 16 -123 -191
债务的发行(退还),净额 655 -540 -723 403 -43 -1134
外汇效应 -4 -1 1 2 -3 2
现金净变化 871 72 -818 720 774 -343
Jun 2021 Dec 2021
Net income/Starting Line 416 1168
Cash From Operating Activities 525 2740
Cash From Operating Activities 613 1258
Non-Cash Items 251 725
Cash Taxes Paid 206 421
Cash Interest Paid 163 236
Changes in Working Capital -755 -411
Cash From Investing Activities -368 -950
Capital Expenditures -480 -1044
Other Investing Cash Flow Items, Total 112 94
Cash From Financing Activities -1182 -2135
Financing Cash Flow Items -1 -190
Total Cash Dividends Paid -460 -620
Issuance (Retirement) of Stock, Net 117 -191
Issuance (Retirement) of Debt, Net -838 -1134
Foreign Exchange Effects 0 2
Net Change in Cash -1025 -343
投资者名称 投资者类型 流通股百分比 持有股份 股份变动 持有日期 换手率
Eiffage Employees Corporation 20.1 19698000 -1198812 2022-11-17 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 4.7574 4662241 -229683 2022-07-12 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 2.146 2103068 5686 2022-12-31 LOW
BDL Capital Management Hedge Fund 1.6552 1622121 56200 2022-12-31 HIGH
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 1.5196 1489171 -310717 2022-12-31 LOW
Moneta Asset Management Investment Advisor/Hedge Fund 1.4946 1464746 -9824 2022-11-30 MED
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 1.3808 1353157 9741 2022-12-31 LOW
Columbia Threadneedle Investments (US) Investment Advisor/Hedge Fund 1.3557 1328567 -45069 2022-12-31 LOW
Azimut Capital Management Sgr SpA Investment Advisor/Hedge Fund 0.9673 948000 0 2022-12-31 MED
BlackRock Advisors (UK) Limited Investment Advisor/Hedge Fund 0.7923 776432 1307 2022-12-31 LOW
Boston Partners Investment Advisor/Hedge Fund 0.7566 741509 0 2022-12-31 LOW
ATLAS Infrastructure Partners (UK) Ltd Investment Advisor 0.7481 733134 -7684 2022-12-31 MED
ACTIAM N.V. Investment Advisor 0.7229 708469 -6044 2022-12-31 LOW
CBRE Investment Management Listed Real Assets LLC Investment Advisor/Hedge Fund 0.5671 555753 9248 2022-12-31 LOW
Geode Capital Management, L.L.C. Investment Advisor/Hedge Fund 0.5548 543699 -11986 2022-12-31 LOW
BNP Paribas Asset Management UK Limited Investment Advisor 0.5002 490161 -616 2022-12-31 LOW
Aviva Investors Global Services Limited Investment Advisor/Hedge Fund 0.4724 462993 29458 2022-11-30 LOW
Amundi Asset Management, SAS Investment Advisor/Hedge Fund 0.4647 455452 -2483 2022-12-31 HIGH
Allianz Global Investors GmbH Investment Advisor 0.4483 439305 -25071 2022-11-30 LOW
JPMorgan Asset Management U.K. Limited Investment Advisor/Hedge Fund 0.3871 379339 -2881 2022-12-31 LOW

为什么选择 Capital.com?让我们的数字来说话。

Capital.com Group
+485000+

交易者

65000+

每月活跃客户

$48000000+

每月投资额

$28000000+

每月提取金额

交易計算器

Calculate your hypothetical P&L if you had opened a CFD trade on a certain date (select a date) and closed on a different date (select a date).

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杠杆
20:1
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投資
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Eiffage Company profile

关于 Eiffage

Eiffage SA是一家总部设在法国的公司,提供建筑和特许经营集团服务。 它通过五个部门开展活动。 建筑,提供建筑、房地产开发和土木工程服务;公共工程,从事道路建设,从新项目和维护到涂料和粘合剂的生产;能源,提供电力承包,包括多技术维护和设施管理;金属,从事金属建筑,在土木工程结构、机械工程、石油和核工业领域工作;特许权和公私合营,管理和经营停车场、高速公路和其他基础设施。

Industry: Construction & Engineering (NEC)

3-7 place de l'Europe
VELIZY VILLACOUBLAY
ILE-DE-FRANCE 78140
FR

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