交易 Karoon Energy Ltd - KARau CFD
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价差 | 0.0182 | ||||||||
多头隔夜费
多头隔夜费
前往平台 | -0.022685% | ||||||||
空头隔夜费
空头隔夜费
前往平台 | 0.000767% | ||||||||
隔夜费时间 | 21:00 (UTC) | ||||||||
最小交易量 | 1 | ||||||||
货币 | AUD | ||||||||
保证金 | 5% | ||||||||
上市交易所 | Australia | ||||||||
交易费 | 0% |
*Information provided by Capital.com
- 上週
- 上個月
- 去年
- 過去兩年
- 最大
- 每日
- 每週
- 每月
日期 | 關閉 | 更改 | 變化 (%) | 打開 | 高 | 低 |
---|---|---|---|---|---|---|
Apr 19, 2024 | 2.1258 | 0.0499 | 2.40% | 2.0759 | 2.1857 | 2.0260 |
Apr 18, 2024 | 2.2156 | 0.0199 | 0.91% | 2.1957 | 2.2456 | 2.1557 |
Apr 17, 2024 | 2.2356 | 0.0000 | 0.00% | 2.2356 | 2.2755 | 2.2256 |
Apr 16, 2024 | 2.2456 | -0.0599 | -2.60% | 2.3055 | 2.3055 | 2.2156 |
Apr 15, 2024 | 2.3254 | -0.0399 | -1.69% | 2.3653 | 2.4053 | 2.3154 |
Apr 12, 2024 | 2.3055 | 0.0001 | 0.00% | 2.3054 | 2.3354 | 2.2655 |
Apr 11, 2024 | 2.3653 | 0.1297 | 5.80% | 2.2356 | 2.3853 | 2.2256 |
Apr 10, 2024 | 2.2555 | -0.0400 | -1.74% | 2.2955 | 2.3254 | 2.2456 |
Apr 9, 2024 | 2.2955 | 0.0599 | 2.68% | 2.2356 | 2.3354 | 2.2356 |
Apr 8, 2024 | 2.2256 | -0.0599 | -2.62% | 2.2855 | 2.2955 | 2.1857 |
Apr 5, 2024 | 2.2655 | -0.0199 | -0.87% | 2.2854 | 2.3154 | 2.2655 |
Apr 4, 2024 | 2.2755 | 0.0499 | 2.24% | 2.2256 | 2.2855 | 2.2256 |
Apr 3, 2024 | 2.2156 | -0.0249 | -1.11% | 2.2405 | 2.2456 | 2.1657 |
Apr 2, 2024 | 2.2256 | 0.0400 | 1.83% | 2.1856 | 2.2356 | 2.1757 |
Apr 1, 2024 | 2.1857 | 0.0200 | 0.92% | 2.1657 | 2.1957 | 2.1657 |
Mar 28, 2024 | 2.1458 | 0.0101 | 0.47% | 2.1357 | 2.1757 | 2.1357 |
Mar 27, 2024 | 2.1358 | 0.0300 | 1.42% | 2.1058 | 2.1757 | 2.1058 |
Mar 26, 2024 | 2.0959 | 0.0899 | 4.48% | 2.0060 | 2.1058 | 2.0060 |
Mar 25, 2024 | 1.9960 | 0.0299 | 1.52% | 1.9661 | 2.0160 | 1.9411 |
Mar 24, 2024 | 1.9611 | -0.0199 | -1.00% | 1.9810 | 1.9810 | 1.9511 |
Karoon Energy Ltd Events
时间(协调世界时) (UTC) | 国家 | 事件 |
---|---|---|
沒有活動安排 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
總收入 | 566.5 | 385.074 | 170.809 | 0 | 1.48633 |
收入 | 566.5 | 385.074 | 170.809 | 0 | 1.48633 |
收入成本,共計 | 283.2 | 191.704 | 111.375 | 0 | |
毛利 | 283.3 | 193.37 | 59.434 | 0 | |
總營業費用 | 329 | 452.992 | 183.746 | 84.957 | 26.4941 |
銷售/一般/行政費用,總計 | 23.8 | 21.043 | 24.927 | 11.626 | 10.2912 |
研究與開發 | 7.6 | 6.558 | 20.89 | 66.919 | 9.96591 |
Depreciation / Amortization | 0.9 | 0.728 | 0.744 | 0.704 | 0.44495 |
異常費用(收入) | -1.5 | 0.038 | 0.676 | 12.836 | 4.50251 |
Other Operating Expenses, Total | 7.1 | 239.124 | 8.081 | 0.57 | 1.28954 |
營業收入 | 237.5 | -67.918 | -12.937 | -84.957 | -25.0078 |
利息收入(費用),非經營淨值 | -13.6 | -18.847 | -12.215 | -0.095 | -0.003776 |
Gain (Loss) on Sale of Assets | 0.639 | 0.019 | |||
其他,淨值 | -7.7 | -3.712 | -2.74 | -1.72 | 14.6581 |
稅前淨收入 | 216.2 | -89.838 | -27.873 | -86.772 | -10.3534 |
稅後淨收入 | 163 | -64.451 | 4.384 | -86.138 | -12.1164 |
未計算非常項目前的淨收益 | 163 | -64.451 | 4.384 | -86.138 | -12.1164 |
淨收入 | 163 | -64.451 | 4.384 | -86.138 | -12.1164 |
普通股股東可獲收益 (不含非經常性項目) | 163 | -64.451 | 4.384 | -86.138 | -12.1164 |
普通股股東可獲收益 (含非經常性項目) | 163 | -64.451 | 4.384 | -86.138 | -12.1164 |
攤薄淨收入 | 163 | -64.451 | 4.384 | -86.138 | -12.1164 |
攤薄後加權平均股 | 570.107 | 568.058 | 567.078 | 444.986 | 245.855 |
扣除特別項目的每股攤薄盈利 | 0.28591 | -0.11346 | 0.00773 | -0.19357 | -0.049281 |
Dividends per Share - Common Stock Primary Issue | |||||
每股正常攤薄盈利 | 0.28393 | 0.02702 | 0.00848 | -0.17482 | -0.03737 |
利息費用(收入) - 淨運營 | 7.9 | -6.203 | 17.053 | -7.698 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
總收入 | 267.1 | 299.4 | 198.6 | 186.474 | 170.809 |
收入 | 267.1 | 299.4 | 198.6 | 186.474 | 170.809 |
收入成本,共計 | 134.9 | 148.3 | 87.352 | 104.352 | 111.375 |
毛利 | 132.2 | 151.1 | 111.248 | 82.122 | 59.434 |
總營業費用 | 156.6 | 172.4 | 150.075 | 302.917 | 183.746 |
銷售/一般/行政費用,總計 | 12.5 | 11.3 | 9.452 | 11.591 | 24.927 |
研究與開發 | 4.4 | 3.2 | 3.935 | 2.6 | 20.89 |
Depreciation / Amortization | 0.5 | 0.4 | 0.439 | 0.289 | 0.744 |
異常費用(收入) | -1.6 | 0.1 | 0.01 | 0.051 | 0.676 |
Other Operating Expenses, Total | 4.9 | 2.2 | 55.09 | 184.034 | 8.081 |
營業收入 | 110.5 | 127 | 48.525 | -116.443 | -12.937 |
利息收入(費用),非經營淨值 | -6.3 | -7.3 | -12.763 | -6.084 | -12.501 |
Gain (Loss) on Sale of Assets | 0.606 | 0.033 | |||
其他,淨值 | -4.4 | -3.3 | -2.243 | -1.469 | -2.435 |
稅前淨收入 | 99.8 | 116.4 | 34.125 | -123.963 | -27.873 |
稅後淨收入 | 85.4 | 77.6 | 33.254 | -97.705 | 4.384 |
未計算非常項目前的淨收益 | 85.4 | 77.6 | 33.254 | -97.705 | 4.384 |
淨收入 | 85.4 | 77.6 | 33.254 | -97.705 | 4.384 |
普通股股東可獲收益 (不含非經常性項目) | 85.4 | 77.6 | 33.254 | -97.705 | 4.384 |
普通股股東可獲收益 (含非經常性項目) | 85.4 | 77.6 | 33.254 | -97.705 | 4.384 |
攤薄淨收入 | 85.4 | 77.6 | 33.254 | -97.705 | 4.384 |
攤薄後加權平均股 | 571.298 | 568.915 | 581.605 | 554.512 | 567.078 |
扣除特別項目的每股攤薄盈利 | 0.14948 | 0.1364 | 0.05718 | -0.1762 | 0.00773 |
Dividends per Share - Common Stock Primary Issue | 0 | 0 | |||
每股正常攤薄盈利 | 0.14709 | 0.14413 | 0.08538 | -0.06183 | 0.00851 |
利息費用(收入) - 淨運營 | 1 | 6.9 | -6.203 | 17.053 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
流動資産總額 | 167.2 | 245.539 | 183.849 | 311.22 | 232.794 |
現金和短期投資 | 75.2 | 158.008 | 133.418 | 300.195 | 229.134 |
现金 | 74.8 | 157.683 | 133.209 | 275.168 | |
短期投資 | 0.4 | 0.325 | 0.209 | 25.027 | 0.376 |
應收賬款總額,淨額 | 71.1 | 56.336 | 34.162 | 9.38 | 1.319 |
總庫存 | 8.7 | 19.403 | 10.952 | 0 | 1.49 |
預付的費用 | 9.312 | 2.89 | 1.645 | ||
總資産 | 1190.4 | 1164.14 | 1013.96 | 398.013 | 321.034 |
物業/廠房/設備,總計 - 淨額 | 887.1 | 787.136 | 785.535 | 44.01 | 60.513 |
物業/廠房/設備,總計 - 總額 | 1112.4 | 913.44 | 792.767 | 4.534 | |
累計折舊,總計 | -311 | -167.141 | -67.105 | -1.728 | |
無形資産,淨額 | 0.1 | 0.04 | 0.102 | 0.211 | 0.376 |
長期投資 | 2.3 | 1.337 | 1.406 | 1.298 | 5.268 |
其他長期資産,總計 | 133.7 | 130.087 | 43.064 | 41.274 | 22.083 |
流動負債總額 | 196.2 | 247.406 | 130.277 | 25.232 | 5.588 |
應付賬款 | 47.8 | 60.879 | 30.286 | 18.698 | |
Payable/Accrued | 8.1 | 5.328 | 2.933 | 3.165 | 5.177 |
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 | 47.2 | 43.741 | 45.393 | 0.203 | 0 |
其他流動負債,總計 | 93.1 | 137.458 | 51.665 | 3.166 | 0.411 |
負債總額 | 716.8 | 887.938 | 633.706 | 38.531 | 22.203 |
長期債務總額 | 228.5 | 272.29 | 267.447 | 1.313 | 0 |
資本租賃義務 | 200.4 | 245.146 | 267.447 | 1.313 | 0 |
遞延所得稅 | 0 | 1.775 | 11.72 | 16.148 | |
其他負債,總計 | 292.1 | 368.242 | 234.207 | 0.266 | 0.467 |
總權益 | 473.6 | 276.201 | 380.25 | 359.482 | 298.831 |
普通股 | 907.5 | 907.514 | 905.138 | 905.281 | 716.502 |
留存收益(累計赤字) | -259.4 | -631.313 | -364.175 | -371.593 | -287.809 |
其他權益,總計 | -174.5 | -160.713 | -174.206 | -129.862 | |
總負債和股東權益 | 1190.4 | 1164.14 | 1013.96 | 398.013 | 321.034 |
已發行普通股總數 | 568.937 | 563.61 | 559.253 | 558.459 | 271.155 |
現金等價物 | 228.758 | ||||
應收賬款 - 貿易,淨額 | 69.6 | 55.979 | 33.831 | 0 | 1.319 |
其他流動資産,總計 | 12.2 | 2.48 | 2.427 | 0 | 0.851 |
長期債務 | 28.1 | 27.144 | 0 | 0 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
流動資産總額 | 167.2 | 264.6 | 245.539 | 257.267 | 183.849 |
現金和短期投資 | 75.2 | 163.2 | 158.008 | 204.08 | 133.418 |
現金等價物 | 163.2 | 157.683 | 204.07 | 133.209 | |
短期投資 | 0.4 | 0 | 0.325 | 0.01 | 0.209 |
應收賬款總額,淨額 | 71.1 | 79.3 | 56.336 | 36.998 | 34.162 |
應收賬款 - 貿易,淨額 | 71.1 | 79.3 | 55.979 | 36.998 | 34.162 |
總庫存 | 8.7 | 14.8 | 19.403 | 6.382 | 10.952 |
預付的費用 | 9.312 | 2.89 | |||
總資産 | 1190.4 | 1256.8 | 1164.14 | 1102.83 | 1013.96 |
物業/廠房/設備,總計 - 淨額 | 887.1 | 857.4 | 787.136 | 749.879 | 785.535 |
無形資産,淨額 | 0.1 | 0.04 | 0.062 | 0.102 | |
長期投資 | 2.3 | 2.4 | 1.337 | 1.383 | 1.406 |
其他長期資産,總計 | 133.7 | 132.4 | 130.087 | 94.241 | 43.064 |
流動負債總額 | 196.2 | 256.5 | 247.406 | 129.156 | 130.277 |
Payable/Accrued | 57.2 | 70.2 | 68.302 | 69.16 | 76.174 |
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 | 47.2 | 45.2 | 43.741 | 41.782 | 45.393 |
其他流動負債,總計 | 91.8 | 141.1 | 135.363 | 18.214 | 8.71 |
負債總額 | 716.8 | 877.7 | 887.938 | 822.446 | 633.706 |
長期債務總額 | 228.5 | 249.6 | 272.29 | 274.988 | 267.447 |
資本租賃義務 | 200.4 | 222 | 245.146 | 247.082 | 267.447 |
遞延所得稅 | 0 | 0.08 | 1.775 | ||
其他負債,總計 | 292.1 | 371.6 | 368.242 | 418.222 | 234.207 |
總權益 | 473.6 | 379.1 | 276.201 | 280.386 | 380.25 |
普通股 | 907.5 | 907.5 | 907.514 | 906.002 | 905.138 |
留存收益(累計赤字) | -259.4 | -345.8 | -631.313 | -459.455 | -364.175 |
其他權益,總計 | -174.5 | -182.6 | -166.161 | -160.713 | |
總負債和股東權益 | 1190.4 | 1256.8 | 1164.14 | 1102.83 | 1013.96 |
已發行普通股總數 | 568.937 | 568.254 | 563.61 | 561.693 | 559.253 |
其他流動資産,總計 | 12.2 | 7.3 | 2.48 | 9.807 | 2.427 |
長期債務 | 28.1 | 27.6 | 27.144 | 27.906 | 0 |
物業/廠房/設備,總計 - 總額 | 1112.4 | 1065.4 | 913.44 | 828.952 | |
累計折舊,總計 | -311 | -249.3 | -167.141 | -120.017 | |
现金 | 74.8 |
- 年度
- 每季度
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
经营活动产生的现金 | 154.246 | 29.786 | -67.116 | -14.7755 | -16.7871 |
Cash Receipts | 362.926 | 136.978 | 1.527 | 0.362421 | 1.12228 |
Cash Payments | -116.988 | -56.461 | -12.176 | -13.662 | -14.5788 |
Cash Taxes Paid | -39.425 | -10.823 | -0.266 | 0.094896 | 0.151676 |
已付现金利息 | -18.86 | -13.246 | -0.351 | -0.119546 | -0.157609 |
营运资金的变化 | -33.407 | -26.662 | -55.85 | -1.45122 | -3.32462 |
投资活动产生的现金 | -112.951 | -169.213 | -52.65 | -1.70326 | -18.7267 |
资本支出 | -64.699 | -22.663 | -2.863 | -3.39788 | -17.1188 |
其他投资现金流量项目,总计 | -48.252 | -146.55 | -49.787 | 1.69462 | -1.60789 |
融资活动产生的现金 | -15.497 | -23.411 | 188.111 | -0.062441 | -0.042669 |
股票的发行(报废),净额 | 2.376 | 0 | 195.456 | 0 | 0 |
债务的发行(退还),净额 | -14.553 | -23.411 | -0.254 | -0.062441 | -0.042669 |
外汇效应 | -1.324 | -0.373 | -0.683 | 11.6418 | 8.01515 |
现金净变化 | 24.474 | -163.211 | 67.662 | -4.89933 | -27.5413 |
融资现金流项目 | -3.32 | 0 | -7.091 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Cash From Operating Activities | 167.1 | 154.246 | 83.863 | 29.786 | -42.355 |
Cash Receipts | 276.7 | 362.926 | 184.46 | 136.978 | 0.347 |
Cash Payments | -66.8 | -116.988 | -57.814 | -56.461 | -8.242 |
Cash Taxes Paid | -20.9 | -39.425 | -11.727 | -10.823 | -3.132 |
Cash Interest Paid | -9.3 | -18.86 | -9.591 | -13.246 | -4.143 |
Changes in Working Capital | -12.6 | -33.407 | -21.465 | -26.662 | -27.185 |
Cash From Investing Activities | -142.4 | -112.951 | -18.27 | -169.213 | -148.571 |
Capital Expenditures | -139.9 | -64.699 | -14.108 | -22.663 | -152.124 |
Other Investing Cash Flow Items, Total | -2.5 | -48.252 | -4.162 | -146.55 | 3.553 |
Cash From Financing Activities | -19.7 | -15.497 | 5.332 | -23.411 | -2.033 |
Financing Cash Flow Items | 0 | -3.32 | -2.192 | 0 | 0 |
Issuance (Retirement) of Stock, Net | 0 | 2.376 | 0.864 | 0 | 0 |
Issuance (Retirement) of Debt, Net | -19.7 | -14.553 | 6.66 | -23.411 | -2.033 |
Foreign Exchange Effects | 0.5 | -1.324 | -0.064 | -0.373 | -1.09 |
Net Change in Cash | 5.5 | 24.474 | 70.861 | -163.211 | -194.049 |
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