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交易 Metromile, Inc. - MILE CFD

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  • 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 -
多头隔夜费

Long position overnight fee


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

前往平台
-0.024068%
空头隔夜费

Short position overnight fee


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

前往平台
0.001846%
隔夜费时间 21:00 (UTC)
最小交易量 1
货币 USD
保证金 20%
上市交易所 United States of America
交易费 0%

*Information provided by Capital.com

关键数据
前收盘价* N/A
开盘价* N/A
1 年变化* N/A
日范围* N/A
52 周范围 0.75-7.77
平均交易量(10 天) N/A
平均交易量(3 个月) 19.37M
市值 127.19M
市盈率 -100.00K
流通股 130.42M
收入 108.32M
EPS -1.15
股息(收益率 %) N/A
贝塔 -100.00K
下一个财报发布日期 Aug 8, 2022

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

Metromile, Inc. Events

時間(協調世界時) (UTC) 國家 事件
No events scheduled
查看所有活動
  • 年度
  • 每季度
2021 2020 2019
总收入 104.897 35.064 52.755
总营业费用 302.786 79.884 109.608
销售/一般/行政费用,总计 137.571 6.739 25.263
Depreciation / Amortization 11.306 11.188 10.648
Other Operating Expenses, Total 44.955 23.936 26.642
营业收入 -197.889 -44.82 -56.853
利息收入(费用),非经营净值 -15.974 -6.067 -0.247
其他,净值 -2.596 -69.294 -0.092
税前净收入 -216.459 -120.181 -57.192
税后净收入 -216.459 -120.097 -57.229
未计算非常项目前的净收益 -216.459 -120.097 -57.229
净收入 -216.459 -120.097 -57.229
普通股股东可获收益 (不含非经常性项目) -216.459 -120.097 -57.229
普通股股东可获收益 (含非經常性項目) -216.459 -120.097 -57.229
摊薄净收入 -216.459 -120.097 -57.229
摊薄后加权平均股 114.61 126.782 126.782
扣除特别项目的每股摊薄盈利 -1.88866 -0.94728 -0.4514
Dividends per Share - Common Stock Primary Issue 0 0 0
每股正常摊薄盈利 -1.88707 -0.94728 -0.4514
Total Premiums Earned 104.78 34.541 50.857
Net Investment Income 0.117 0.523 1.898
Losses, Benefits, and Adjustments, Total 108.771 38.021 47.055
异常费用(收入) 0.183
Mar 2022 Dec 2021 Sep 2021 Jun 2021 Mar 2021
总收入 20.699 29.522 30.001 28.098 17.276
总营业费用 55.149 79.874 67.778 76.244 78.89
销售/一般/行政费用,总计 11.069 31.37 19.924 35.133 50.444
Depreciation / Amortization 3.368 3.116 2.838 2.701 2.651
Other Operating Expenses, Total 13.369 14.172 11.745 10.649 9.089
营业收入 -34.45 -50.352 -37.777 -48.146 -61.614
利息收入(费用),非经营净值 0 0 0 -0.098 -15.876
其他,净值 0.131 5.537 11.02 6.984 -26.137
税前净收入 -34.319 -44.815 -26.757 -41.26 -103.627
税后净收入 -34.319 -44.815 -26.757 -41.26 -103.627
未计算非常项目前的净收益 -34.319 -44.815 -26.757 -41.26 -103.627
净收入 -34.319 -44.815 -26.757 -41.26 -103.627
普通股股东可获收益 (不含非经常性项目) -34.319 -44.815 -26.757 -41.26 -103.627
普通股股东可获收益 (含非經常性項目) -34.319 -44.815 -26.757 -41.26 -103.627
摊薄净收入 -34.319 -44.815 -26.757 -41.26 -103.627
摊薄后加权平均股 128.715 128.474 127.167 126.693 75.7916
扣除特别项目的每股摊薄盈利 -0.26663 -0.34883 -0.21041 -0.32567 -1.36726
Dividends per Share - Common Stock Primary Issue 0 0 0 0
每股正常摊薄盈利 -0.26663 -0.34883 -0.20949 -0.32515 -1.36726
Total Premiums Earned 20.654 29.49 29.971 28.079 17.24
Net Investment Income 0.045 0.032 0.03 0.019 0.036
Losses, Benefits, and Adjustments, Total 27.343 31.216 33.154 27.695 16.706
异常费用(收入) 0 0.117 0.066
  • 年度
  • 每季度
2021 2020 2019
现金等价物 120.94 19.15 18.687
应收账款总额,净额 4.999 5.815
Total Assets 313.415 202.164 210.494
Property/Plant/Equipment, Total - Net 27.854 12.716 10.57
Property/Plant/Equipment, Total - Gross 36.795 24.019 18.948
Accumulated Depreciation, Total -8.941 -11.303 -8.378
Intangibles, Net 34.169 25.901 23.981
Long Term Investments 53.907 21.74 38.312
Other Long Term Assets, Total 42.881 31.038 24.2
Other Assets, Total 15.392 69.635 70.906
Accounts Payable 10.82 8.222 5.911
Notes Payable/Short Term Debt 0 0 0
Total Liabilities 127.027 259.191 149.034
Total Long Term Debt 0 51.934 24.102
Long Term Debt 0 51.934 24.102
Deferred Income Tax 0 0.084
Other Liabilities, Total 7.881 98.023 12.127
Total Equity 186.388 -57.027 61.46
Redeemable Preferred Stock 0 304.469 304.469
Common Stock 0.013 0.001 0.001
Additional Paid-In Capital 769.525 5.482 3.816
Retained Earnings (Accumulated Deficit) -583.034 -366.575 -246.478
Unrealized Gain (Loss) -0.116 0.011 0.06
Other Equity, Total 0 -0.415 -0.408
Total Liabilities & Shareholders’ Equity 313.415 202.164 210.494
Total Common Shares Outstanding 128.222 126.782 126.782
Accrued Expenses 18.4
Other Current Liabilities, Total 0.422
Mar 2022 Dec 2021 Sep 2021 Jun 2021 Mar 2021
现金等价物 84.339 120.94 159.157 202.584 221.501
应收账款总额,净额 6.551 0.624 2.296 4.576
Total Assets 295.513 313.415 332.044 361.101 407.77
Property/Plant/Equipment, Total - Net 25.969 13.654 13.025 13.045 11.564
Intangibles, Net 29.471 34.169 30.311 27.376 24.802
Long Term Investments 60.937 53.907 40.712 41.462 19.533
Other Long Term Assets, Total 41.231 42.881 50.938 41.335 73.545
Other Assets, Total 27.289 29.592 17.053 12.978 31.509
Accounts Payable 8.421 10.82 8.907 8.879 10.018
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 0 0.422 0.822
Total Liabilities 137.874 127.027 114.989 125.585 139.906
Total Long Term Debt 0 0 0 0 0
Long Term Debt 0 0 0 0
Other Liabilities, Total 8.1 26.281 17.592 33.815 37.095
Total Equity 157.639 186.388 217.055 235.516 267.864
Redeemable Preferred Stock 0 0 0 0 0
Common Stock 0.013 0.013 0.013 0.012 0.012
Additional Paid-In Capital 775.443 769.525 755.276 746.981 738.052
Retained Earnings (Accumulated Deficit) -617.353 -583.034 -538.219 -511.462 -470.202
Unrealized Gain (Loss) -0.464 -0.116 -0.015 -0.015 0.002
Other Equity, Total 0 0 0 0
Total Liabilities & Shareholders’ Equity 295.513 313.415 332.044 361.101 407.77
Total Common Shares Outstanding 130.183 128.222 127.737 126.727 126.727
Property/Plant/Equipment, Total - Gross 22.595
Accumulated Depreciation, Total -8.941
Accrued Expenses 18.4
  • 年度
  • 每季度
2021 2020 2019
净收入/起跑线 -216.459 -120.097 -57.229
经营活动产生的现金 -95.122 -32.193 -30.741
经营活动产生的现金 17.221 17.004 15.651
Deferred Taxes 0 -0.084 0.037
非现金物品 54.978 73.256 2.357
已付现金利息 3.164 2.797 0.212
营运资金的变化 49.138 -2.272 8.443
投资活动产生的现金 -64.765 1.805 -63.288
资本支出 -26.814 -20.011 -20.137
其他投资现金流量项目,总计 -37.951 21.816 -43.151
融资活动产生的现金 273.52 37.689 24.109
股票的发行(报废),净额 4.387 0.209 1.321
债务的发行(退还),净额 -67.336 37.48 22.788
现金净变化 113.633 7.301 -69.92
融资现金流项目 336.469
Mar 2022 Dec 2021 Sep 2021 Jun 2021 Mar 2021
Net income/Starting Line -34.319 -216.459 -171.644 -144.887 -103.627
Cash From Operating Activities -27.981 -95.122 -70.331 -47.534 -29.363
Cash From Operating Activities 5.255 17.221 12.523 8.189 4.023
Non-Cash Items 6.009 54.978 45.781 47.451 45.057
Cash Interest Paid 0 3.164 3.164 3.164 3.164
Changes in Working Capital -4.926 49.138 43.009 41.713 25.184
Cash From Investing Activities -17.13 -64.765 -43.265 -32.217 0.739
Capital Expenditures -5.2 -26.814 -17.297 -9.352 -1.677
Other Investing Cash Flow Items, Total -11.93 -37.951 -25.968 -22.865 2.416
Cash From Financing Activities 0 273.52 273.503 273.482 273.482
Financing Cash Flow Items 0 336.469 336.469 336.469 336.469
Issuance (Retirement) of Stock, Net 0 4.387 4.37 4.349 4.349
Issuance (Retirement) of Debt, Net 0 -67.336 -67.336 -67.336 -67.336
Net Change in Cash -47.504 113.633 159.907 193.731 244.858
Deferred Taxes 0
Foreign Exchange Effects -2.393

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Metromile, Inc. Company profile

关于 Metromile Inc

Metromile, Inc.是一个数字保险平台,它向美国的汽车保险客户和美国及全球的汽车保险公司提供产品。 它为其保险客户提供实时的、个性化的汽车保险政策,按里程定价和计费,费率精确地基于他们实际驾驶的方式和数量,而不是使用行业标准的近似值和估计值。 该公司经营两个部分。 保险服务从事为车主提供保险政策;企业业务解决方案从事根据软件即服务安排向第三方客户提供对其开发的技术的访问,以及专业服务。 其Metromile应用程序提供通知,以避免停车罚单,获得到客户汽车的步行路线,并监测客户的汽车健康。 它的Metromile Enterprise是一个平台,可实现索赔自动化并减少与欺诈有关的损失。

Industry: Property & Casualty Insurance (NEC)

425 Market Street
Suite 1703
SAN FRANCISCO
CALIFORNIA 94105
US

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