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。

交易 Iren SPA - IRE CFD

1.8650
1.08%
0.0150
最低: 1.8375
最高: 1.87
Market Trading Hours* (UTC) Opens on Wednesday at 07:00

Mon - Fri: 07:00 - 15:30

  • 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 0.0150
多头隔夜费

Long position overnight fee


Margin. Your investment $1,000.00
隔夜费用 -0.019974 %
Charges from borrowed part ($-0.80)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

前往平台
-0.019974%
空头隔夜费

Short position overnight fee


Margin. Your investment $1,000.00
隔夜费用 -0.002248 %
Charges from borrowed part ($-0.09)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

前往平台
-0.002248%
隔夜费时间 21:00 (UTC)
最小交易量 1
货币 EUR
保证金 20%
上市交易所 Italy
交易费 0%

*Information provided by Capital.com

Iren SpA 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.

关键数据
前收盘价* 1.845
开仓* 1.8525
1 年变化* -22.65%
日范围* 1.8375 - 1.87
52 周范围 1.27-2.43
平均交易量(10 天) 1.15M
平均交易量(3 个月) 39.44M
市值 2.44B
市盈率 9.78
流通股 1.28B
收入 7.44B
EPS 0.19
股息(收益率 %) 5.8573
贝塔 0.78
下一个财报发布日期 Jul 27, 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 平仓 Change Change (%) 開倉 High Low
Jun 6, 2023 1.8650 0.0175 0.95% 1.8475 1.8725 1.8350
Jun 5, 2023 1.8450 -0.0300 -1.60% 1.8750 1.8750 1.8450
Jun 2, 2023 1.8725 0.0125 0.67% 1.8600 1.8775 1.8525
Jun 1, 2023 1.8600 -0.0175 -0.93% 1.8775 1.8800 1.8350
May 31, 2023 1.8450 -0.0100 -0.54% 1.8550 1.8800 1.8350
May 30, 2023 1.8725 0.0350 1.90% 1.8375 1.8775 1.8375
May 29, 2023 1.8525 -0.0125 -0.67% 1.8650 1.8800 1.8425
May 26, 2023 1.8650 0.0125 0.67% 1.8525 1.8725 1.8050
May 25, 2023 1.8550 -0.0200 -1.07% 1.8750 1.8800 1.8450
May 24, 2023 1.8725 -0.0125 -0.66% 1.8850 1.8925 1.8525
May 23, 2023 1.9050 0.0000 0.00% 1.9050 1.9200 1.8850
May 22, 2023 1.9050 -0.0100 -0.52% 1.9150 1.9400 1.8950
May 19, 2023 1.9150 0.0350 1.86% 1.8800 1.9225 1.8700
May 18, 2023 1.8775 -0.0450 -2.34% 1.9225 1.9375 1.8675
May 17, 2023 1.9250 -0.0350 -1.79% 1.9600 1.9600 1.9050
May 16, 2023 1.9600 0.0300 1.55% 1.9300 1.9825 1.9175
May 15, 2023 1.9325 -0.0125 -0.64% 1.9450 1.9600 1.9200
May 12, 2023 1.9400 0.0350 1.84% 1.9050 1.9475 1.8875
May 11, 2023 1.9050 -0.0200 -1.04% 1.9250 1.9425 1.8625
May 10, 2023 1.9150 0.0050 0.26% 1.9100 1.9300 1.9000

Iren SPA Events

时间(协调世界时) (UTC) 国家/地区 事件
Friday, June 16, 2023

时间(协调世界时) (UTC)

12:00

国家/地区

IT

事件

Iren SpA
Iren SpA

Forecast

-

Previous

-
Monday, June 19, 2023

时间(协调世界时) (UTC)

12:00

国家/地区

IT

事件

Iren SpA
Iren SpA

Forecast

-

Previous

-
Thursday, July 27, 2023

时间(协调世界时) (UTC)

10:59

国家/地区

IT

事件

Q2 2023 Iren SpA Earnings Release
Q2 2023 Iren SpA Earnings Release

Forecast

-

Previous

-
查看所有活動
  • 年度
  • 每季度
2022 2021 2020 2019 2018
总收入 7670.6 4826.74 3538 4081.33 3723.15
Other Revenue, Total 7670.6 4826.74 3538 4081.33 3723.15
收入成本,共计 4526.4 1947.11 983.239 1377.35 1343.95
总营业费用 7206.86 4373.06 3122.58 3628.93 3228.27
销售/一般/行政费用,总计 2289.66 1980.78 1817.65 1955.68 1729.88
Depreciation / Amortization 522.592 478.32 440.793 403.563 354.947
异常费用(收入) 45.95 27.08 8.327 14.16 1.33
Other Operating Expenses, Total -177.749 -60.231 -127.425 -121.831 -201.842
营业收入 463.735 453.676 415.413 452.406 494.88
利息收入(费用),非经营净值 -53.14 -31.621 -48.561 -70.16 -103.713
其他,净值 -11.798 1.554 2.439 -5.231 -1.643
税前净收入 398.797 423.609 369.291 377.015 389.524
税后净收入 297.2 301.03 269.285 265.465 273.237
少数股东权益 -43.929 -30.229 -30.113 -29.103 -31.121
未计算非常项目前的净收益 253.271 270.801 239.172 236.362 242.116
净收入 226.017 303.172 239.172 236.362 242.116
普通股股东可获收益 (不含非经常性项目) 253.271 270.801 239.172 236.362 242.116
普通股股东可获收益 (含非經常性項目) 226.017 303.172 239.172 236.362 242.116
摊薄净收入 226.017 303.172 239.172 236.362 242.116
摊薄后加权平均股 1283.08 1283.08 1283.08 1296.98 1292.13
扣除特别项目的每股摊薄盈利 0.19739 0.21106 0.18641 0.18224 0.18738
Dividends per Share - Common Stock Primary Issue 0.11 0.105 0.095 0.0925 0.084
每股正常摊薄盈利 0.22408 0.22605 0.19114 0.18993 0.1881
非常规项目总计 -27.254 32.371
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
总收入 1962.49 3977.49 1869.69 3650.48 2154.74
Other Revenue, Total 1962.49 3977.49 1869.69 3650.48 2154.74
收入成本,共计 1142.87 2413.21 1088.94 2113.2 1291.15
总营业费用 1752.14 3796.67 1828.26 3367.56 1929.74
销售/一般/行政费用,总计 499.228 1258.89 649.379 1030.77 524.794
Depreciation / Amortization 140.269 271.007 138.622 251.585 121.93
异常费用(收入) 0.688 2.628
Other Operating Expenses, Total -30.222 -147.123 -48.683 -30.626 -8.136
营业收入 210.344 180.819 41.431 282.916 224.996
利息收入(费用),非经营净值 -17.786 -35.28 -18.576 -17.86 -12.238
税前净收入 192.558 141.732 22.855 257.065 212.758
税后净收入 143.774 114.08 15.291 183.12 150.679
少数股东权益 -8.739 -24.606 -10.847 -19.323 -8.755
未计算非常项目前的净收益 135.035 89.474 4.444 163.797 141.924
净收入 135.035 92.699 4.444 133.318 117.86
普通股股东可获收益 (不含非经常性项目) 135.035 89.474 4.444 163.797 141.924
普通股股东可获收益 (含非經常性項目) 135.035 92.699 4.444 133.318 117.86
摊薄净收入 135.035 92.699 4.444 133.318 117.86
摊薄后加权平均股 1283.08 1283.08 1283.08 1283.08 1283.08
扣除特别项目的每股摊薄盈利 0.10524 0.06973 0.00346 0.12766 0.11061
Dividends per Share - Common Stock Primary Issue 0 0.11 0 0 0
每股正常摊薄盈利 0.10524 0.07017 0.00346 0.12912 0.11061
其他,净值 -3.807 -7.991
非常规项目总计 3.225 0 -30.479 -24.064
  • 年度
  • 每季度
2022 2021 2020 2019 2018
流动资产总额 3286.14 2592.85 2254.5 1723.25 1759.05
现金和短期投资 788.402 606.888 890.169 345.876 369.318
Cash 788.333 606.787 889.87 345.753 369.153
现金等价物 0.069 0.101 0.299 0.123 0.165
短期投资
应收账款总额,净额 1910.86 1531.33 1098.99 1139.29 1167.74
Accounts Receivable - Trade, Net 1608.03 1110.32 875.661 905.628 983.836
Total Inventory 139.359 111.812 66.606 71.789 73.799
Prepaid Expenses 35.552 29.592 12.832 10.296 8.479
Total Assets 11717.1 10170.6 9555.84 8805.92 8568.13
Property/Plant/Equipment, Total - Net 4366.72 3939.66 3833.44 3600.41 3471.96
Property/Plant/Equipment, Total - Gross 8394.69 7620.62 7316.42 6711.74 6277.4
Accumulated Depreciation, Total -4027.97 -3680.96 -3482.98 -3111.33 -2805.44
Goodwill, Net 237.966 192.48 213.502 158.399 149.713
Intangibles, Net 2826.69 2522.77 2355.14 2195.57 2009.99
Long Term Investments 392.58 360.03 346.819 295.732 302.504
Note Receivable - Long Term 239.431 125.283 173.63 92.085 91.643
Other Long Term Assets, Total 367.526 437.542 378.813 740.477 783.277
Total Current Liabilities 3116.81 2457.29 1759.89 1775.57 1758.52
Accounts Payable 2140.18 1509.11 963.453 865.747 892.65
Accrued Expenses 110.704 113.561 89.023 92.976 140.244
Notes Payable/Short Term Debt 0.728 2.126 12.558 75.256 0.044
Current Port. of LT Debt/Capital Leases 65.099 410.795 240.582 317.982 363.673
Other Current Liabilities, Total 800.096 421.697 454.269 423.612 361.911
Total Liabilities 8971.97 7600 7164.51 6518.36 6382.69
Total Long Term Debt 4257.1 3500.74 3753.83 3085.59 2937.55
Long Term Debt 4207.36 3470.92 3724.94 3060.09 2935.68
Deferred Income Tax 142.221 188.725 203.54 210.266 211.553
Minority Interest 446.069 379.976 372.214 363.756 376.928
Other Liabilities, Total 1009.78 1073.27 1075.04 1083.18 1098.14
Total Equity 2745.08 2570.61 2391.34 2287.56 2185.44
Common Stock 1300.93 1300.93 1300.93 1300.93 1300.93
Additional Paid-In Capital 133.019 133.019 133.019 133.019 133.019
Retained Earnings (Accumulated Deficit) 1287.18 1189.82 1005.53 885.036 768.846
Other Equity, Total 62.642 -14.468 -13.493 -31.429 -17.353
Total Liabilities & Shareholders’ Equity 11717.1 10170.6 9555.84 8805.92 8568.13
Total Common Shares Outstanding 1283.08 1283.08 1285.06 1296.98 1300.93
Other Current Assets, Total 411.964 313.229 185.898 155.994 139.715
Capital Lease Obligations 49.738 29.82 28.89 25.5 1.867
Treasury Stock - Common -38.691 -38.691 -34.648
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
流动资产总额 2839.23 3286.14 3112.38 2658.28 2911.11
现金和短期投资 633.647 788.402 779.79 476.944 917.077
现金等价物 488.427 0.069 482.902 0.319 541.491
短期投资 145.22 296.888 375.586
应收账款总额,净额 2123.26 1910.86 1911.55 1539.77 1935.34
Accounts Receivable - Trade, Net 1564 1608.03 1436.7 1232.15 1516.44
Total Inventory 81.182 139.359 419.89 190.268 57.548
Total Assets 11373.2 11717.1 11388.6 10697.1 10885.8
Property/Plant/Equipment, Total - Net 4394.75 4366.72 4205.13 4091.07 4021.8
Goodwill, Net 244.211 237.966 305.184 282.008 274.328
Intangibles, Net 2877.76 2826.69 2689.03 2628.79 2712.13
Long Term Investments 392.132 392.58 408.796 418.26 373.074
Note Receivable - Long Term 189.044 239.431 163.759 153.73 109.089
Other Long Term Assets, Total 436.068 367.526 504.283 464.956 484.314
Total Current Liabilities 2625.16 3116.81 3149.39 2901.62 3021.94
Accounts Payable 1714.43 2140.18 1873.64 1559.35 1764.34
Notes Payable/Short Term Debt 0 0.728 0 10.398 0
Current Port. of LT Debt/Capital Leases 243.598 65.099 701.705 417.061 478.419
Other Current Liabilities, Total 667.134 800.096 574.04 744.823 779.179
Total Liabilities 8497.09 8971.97 8850.32 8148.4 8182.87
Total Long Term Debt 4273.04 4257.1 4108.97 3635.31 3537.1
Long Term Debt 4273.04 4207.36 4108.97 3600.76 3537.1
Deferred Income Tax 144.229 142.221 165.239 197.869 206.568
Minority Interest 454.351 446.069 417.561 384.7 391.637
Other Liabilities, Total 1000.31 1009.78 1009.17 1028.9 1025.63
Total Equity 2876.11 2745.08 2538.23 2548.7 2702.98
Common Stock 1300.93 1300.93 1300.93 1300.93 1300.93
Retained Earnings (Accumulated Deficit) 1575.18 1287.18 1237.3 1177.43 1402.05
Total Liabilities & Shareholders’ Equity 11373.2 11717.1 11388.6 10697.1 10885.8
Total Common Shares Outstanding 1283.08 1283.08 1283.08 1283.08 1283.08
Cash 788.333 476.625
Prepaid Expenses 35.552 48.782
Other Current Assets, Total 1.144 411.964 1.144 402.522 1.144
Property/Plant/Equipment, Total - Gross 8394.69 7923.62
Accumulated Depreciation, Total -4027.97 -3832.55
Accrued Expenses 110.704 169.989
Capital Lease Obligations 49.738 34.545
Additional Paid-In Capital 133.019 133.019
Treasury Stock - Common -38.691 -38.69
Other Equity, Total 62.642 -23.991
  • 年度
  • 每季度
2022 2021 2020 2019 2018
净收入/起跑线 269.946 333.401 269.285 265.465 273.237
经营活动产生的现金 1083.06 950.472 821.114 724.651 777.897
经营活动产生的现金 522.591 478.32 354.947
非现金物品 246.866 59.547 532.828 470.176 139.565
Cash Taxes Paid 128.947
已付现金利息 90.875 75.93 113.539
营运资金的变化 43.654 79.204 19.001 -10.99 10.148
投资活动产生的现金 -1142.1 -811.793 -868.596 -581.318 -623.763
资本支出 -897.565 -757.775 -685.15 -523.985 -446.984
其他投资现金流量项目,总计 -244.538 -54.018 -183.446 -57.333 -176.779
融资活动产生的现金 240.56 -421.96 -194.632 -396.654 46.098
融资现金流项目 47.474 -163.722 -20.092 -237.478 -80.504
Total Cash Dividends Paid -157.611 -149.458 -113.08
债务的发行(退还),净额 352.355 -100.274 -174.54 -159.176 187.06
现金净变化 181.514 -283.281 -242.114 -253.321 200.232
股票的发行(报废),净额 -1.658 -8.506 52.622
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 143.774 269.946 167.932 152.641 127.172
Cash From Operating Activities -142.027 1083.06 207.976 293.895 199.368
Cash From Operating Activities 140.269 522.591 390.207 251.585 121.154
Non-Cash Items 109.036 246.866 154.389 46.21 108.941
Cash Interest Paid 7.848 90.875 31.837 16.754 3.431
Changes in Working Capital -535.106 43.654 -504.552 -156.541 -157.899
Cash From Investing Activities -196.073 -1142.1 -808.303 -573.726 -325.151
Capital Expenditures -190.766 -897.565 -557.097 -337.795 -140.614
Other Investing Cash Flow Items, Total -5.307 -244.538 -251.206 -235.931 -184.537
Cash From Financing Activities 38.125 240.56 476.341 149.887 60.386
Financing Cash Flow Items 39.24 47.474 84.657 49.808 66.803
Total Cash Dividends Paid -1.908 -157.611 -157.172 -24.797 -3.935
Issuance (Retirement) of Stock, Net -1.658 -1.358 0 0
Issuance (Retirement) of Debt, Net 0.793 352.355 550.214 124.876 -2.482
Net Change in Cash -299.975 181.514 -123.986 -129.944 -65.397
Cash Taxes Paid
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
Finanziaria Sviluppo Utilities S.r.l. (FSU) Holding Company 18.85 245225565 0 2022-12-31 LOW
Comune di Torino Government Agency 13.8 179528530 0 2022-12-31 LOW
Comune di Reggio Emilia Government Agency 6.42 83519794 0 2022-12-31 LOW
Paolo (Di San) Individual Investor 3.79 49305299 6244470 2022-12-31 LOW
Comune di Parma Government Agency 3.16 41109432 0 2022-12-31 LOW
Metro Holding Torino Srl Corporation 2.5 32523284 0 2022-12-31 LOW
Amundi SGR SpA Investment Advisor 1.536 19982930 -973298 2023-03-31 HIGH
Anima SGR S.p.A. Investment Advisor 1.5303 19908475 -416382 2022-09-30 LOW
Municipality LA Spezia Corporation 1.5 19513971 -4032887 2022-12-31 LOW
Norges Bank Investment Management (NBIM) Sovereign Wealth Fund 1.4352 18671073 18671073 2022-12-31 LOW
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 1.4098 18340249 169827 2023-04-30 LOW
Comune di Piacenza Government Agency 1.37 17822760 0 2022-12-31 LOW
Eurizon Capital SGR S.p.A. Investment Advisor/Hedge Fund 1.2402 16134658 400000 2023-04-30 MED
Fideuram - Intesa Sanpaolo Private Banking Asset Management SGR S.p.A. Investment Advisor 0.8887 11560765 1644878 2023-04-30 MED
BlackRock Institutional Trust Company, N.A. Investment Advisor 0.7399 9625220 16580 2023-04-30 LOW
ARCA Fondi SGR S.p.A Investment Advisor 0.6649 8649409 0 2023-04-30 LOW
Dimensional Fund Advisors, L.P. Investment Advisor/Hedge Fund 0.663 8624616 2358 2023-04-30 LOW
Victory Capital Management Inc. Investment Advisor/Hedge Fund 0.4542 5908654 -105821 2023-03-31 LOW
Amundi Asset Management, SAS Investment Advisor/Hedge Fund 0.4334 5637964 -69923 2023-04-30 MED
Azimut Capital Management Sgr SpA Investment Advisor/Hedge Fund 0.3626 4717503 475000 2023-04-30 MED

为什么选择 Capital.com?让我们的数字来说话。

Capital.com Group

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Iren Company profile

关于 Iren SpA

Iren SpA是一家总部设在意大利的控股公司,活跃在公用事业行业。 公司从事电力、区域供热的热能和天然气行业,以及综合水服务、环境服务和技术服务的管理。 公司负责战略、发展、协调和控制活动,而四个业务单位则被委托协调和指导在各自领域运营的公司。 网络部,在综合水循环、天然气分配和电力分配领域开展工作;废物管理部,开展废物收集、城市卫生、处理和处置活动;能源部,在电力和热能生产、区域供热、能源效率和技术服务、公共照明和交通灯网络等领域开展工作;市场部,积极从事电力、天然气和区域供热的销售,等等。

Industry: Multiline Utilities

Via Nubi di Magellano, 30
REGGIO NELL'EMILIA
REGGIO EMILIA 42123
IT

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