交易 Sonic Healthcare Limited - SHLau CFD
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交易條件
价差 | 0.132 | ||||||||
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 | 26.039 | 0.240 | 0.93% | 25.799 | 26.109 | 25.720 |
Apr 18, 2024 | 25.919 | 0.160 | 0.62% | 25.759 | 26.159 | 25.670 |
Apr 17, 2024 | 26.009 | -0.249 | -0.95% | 26.258 | 26.408 | 25.989 |
Apr 16, 2024 | 26.418 | 0.060 | 0.23% | 26.358 | 26.458 | 26.059 |
Apr 15, 2024 | 26.658 | -0.080 | -0.30% | 26.738 | 26.847 | 26.478 |
Apr 12, 2024 | 27.127 | -0.130 | -0.48% | 27.257 | 27.496 | 27.047 |
Apr 11, 2024 | 27.606 | -0.519 | -1.85% | 28.125 | 28.135 | 27.556 |
Apr 10, 2024 | 28.644 | -0.210 | -0.73% | 28.854 | 29.023 | 28.644 |
Apr 9, 2024 | 28.734 | -0.179 | -0.62% | 28.913 | 28.963 | 28.644 |
Apr 8, 2024 | 29.043 | 0.100 | 0.35% | 28.943 | 29.123 | 28.913 |
Apr 5, 2024 | 28.983 | -0.040 | -0.14% | 29.023 | 29.088 | 28.913 |
Apr 4, 2024 | 29.023 | -0.130 | -0.45% | 29.153 | 29.203 | 28.694 |
Apr 3, 2024 | 29.153 | 0.200 | 0.69% | 28.953 | 29.223 | 28.903 |
Apr 2, 2024 | 28.953 | -0.090 | -0.31% | 29.043 | 29.333 | 28.734 |
Apr 1, 2024 | 29.043 | -0.040 | -0.14% | 29.083 | 29.323 | 28.953 |
Mar 28, 2024 | 29.393 | 0.070 | 0.24% | 29.323 | 29.542 | 29.213 |
Mar 27, 2024 | 29.323 | 0.240 | 0.83% | 29.083 | 29.343 | 29.043 |
Mar 26, 2024 | 29.093 | -0.080 | -0.27% | 29.173 | 29.353 | 28.903 |
Mar 25, 2024 | 29.173 | 0.480 | 1.67% | 28.693 | 29.213 | 28.634 |
Mar 24, 2024 | 28.694 | 0.389 | 1.37% | 28.305 | 28.774 | 28.305 |
Sonic Healthcare Limited 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 | 8168.95 | 9340.15 | 8754.12 | 6831.84 | 6133.67 |
收入 | 8168.95 | 9340.15 | 8754.12 | 6831.84 | 6133.67 |
收入成本,共計 | 1279.69 | 1604.46 | 1616.83 | 1117.37 | 995.288 |
毛利 | 6889.25 | 7735.69 | 7137.29 | 5714.47 | 5138.38 |
總營業費用 | 7150.73 | 7183.13 | 6833.01 | 6019.93 | 5325.35 |
銷售/一般/行政費用,總計 | 4263.85 | 4280.21 | 3958.81 | 3744.34 | 3666.74 |
Depreciation / Amortization | 702.928 | 675.417 | 641.594 | 605.868 | 273.144 |
異常費用(收入) | 0.883 | 3.348 | 0.62 | 2.134 | -42.518 |
Other Operating Expenses, Total | 903.376 | 619.698 | 615.155 | 550.213 | 432.697 |
營業收入 | 1018.21 | 2157.02 | 1921.11 | 811.914 | 808.32 |
利息收入(費用),非經營淨值 | -87.025 | -79.819 | -92.519 | -112.851 | -86.063 |
稅前淨收入 | 931.188 | 2077.21 | 1828.59 | 699.063 | 722.257 |
稅後淨收入 | 707.931 | 1515.47 | 1347.66 | 541.903 | 559.069 |
少數股東權益 | -22.947 | -54.9 | -32.618 | -14.154 | -9.344 |
未計算非常項目前的淨收益 | 684.984 | 1460.57 | 1315.04 | 527.749 | 549.725 |
淨收入 | 684.984 | 1460.57 | 1315.04 | 527.749 | 549.725 |
普通股股東可獲收益 (不含非經常性項目) | 684.984 | 1460.57 | 1315.04 | 527.749 | 549.725 |
普通股股東可獲收益 (含非經常性項目) | 684.984 | 1460.57 | 1315.04 | 527.749 | 549.725 |
攤薄淨收入 | 684.984 | 1460.57 | 1315.04 | 527.749 | 549.725 |
攤薄後加權平均股 | 472.444 | 482.88 | 481.461 | 477.161 | 450.309 |
扣除特別項目的每股攤薄盈利 | 1.44987 | 3.0247 | 2.73135 | 1.10602 | 1.22077 |
Dividends per Share - Common Stock Primary Issue | 1.04 | 1 | 0.91 | 0.85 | 0.84 |
每股正常攤薄盈利 | 1.4513 | 3.02976 | 2.74009 | 1.13373 | 1.20655 |
非常規項目總計 | 0 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
總收入 | 4086.71 | 4082.24 | 4583.62 | 4756.53 | 4321.89 |
收入 | 4086.71 | 4082.24 | 4583.62 | 4756.53 | 4321.89 |
收入成本,共計 | 657.22 | 622.475 | 793.492 | 810.967 | 786.136 |
毛利 | 3429.49 | 3459.76 | 3790.13 | 3945.56 | 3535.75 |
總營業費用 | 3647.49 | 3503.24 | 3635.37 | 3547.76 | 3396.14 |
銷售/一般/行政費用,總計 | 2158.35 | 2105.5 | 2209.71 | 2070.5 | 1999.94 |
Depreciation / Amortization | 357.31 | 345.618 | 343.809 | 331.608 | 328.504 |
Other Operating Expenses, Total | 474.608 | 429.651 | 288.363 | 334.683 | 281.558 |
營業收入 | 439.222 | 578.991 | 948.255 | 1208.77 | 925.752 |
利息收入(費用),非經營淨值 | -44.94 | -42.085 | -39.544 | -40.275 | -41.167 |
稅前淨收入 | 394.282 | 536.906 | 908.711 | 1168.49 | 884.585 |
稅後淨收入 | 315.648 | 392.283 | 665.99 | 849.476 | 658.246 |
少數股東權益 | -13.018 | -9.929 | -33.089 | -21.811 | -20.841 |
未計算非常項目前的淨收益 | 302.63 | 382.354 | 632.901 | 827.665 | 637.405 |
淨收入 | 302.63 | 382.354 | 632.901 | 827.665 | 637.405 |
普通股股東可獲收益 (不含非經常性項目) | 302.63 | 382.354 | 632.901 | 827.665 | 637.405 |
普通股股東可獲收益 (含非經常性項目) | 302.63 | 382.354 | 632.901 | 827.665 | 637.405 |
攤薄調整 | |||||
攤薄淨收入 | 302.63 | 382.354 | 632.901 | 827.665 | 637.405 |
攤薄後加權平均股 | 472.077 | 472.81 | 481.179 | 484.581 | 481.987 |
扣除特別項目的每股攤薄盈利 | 0.64106 | 0.80868 | 1.31531 | 1.708 | 1.32245 |
Dividends per Share - Common Stock Primary Issue | 0.62 | 0.42 | 0.6 | 0.4 | 0.55 |
每股正常攤薄盈利 | 0.64106 | 0.80868 | 1.31531 | 1.708 | 1.33031 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
流動資産總額 | 2133.17 | 2305.91 | 2284.57 | 2455.1 | 1753.18 |
現金和短期投資 | 797.994 | 779.997 | 899.827 | 1230.15 | 736.646 |
现金 | 797.994 | 779.997 | 899.827 | 1230.15 | 736.646 |
應收賬款總額,淨額 | 1022.17 | 1217.46 | 1088.72 | 986.77 | 827.932 |
應收賬款 - 貿易,淨額 | 904.462 | 1087.3 | 989.976 | 868.626 | 725.386 |
總庫存 | 199.201 | 216.193 | 224.388 | 163.425 | 119.673 |
預付的費用 | 113.801 | 92.258 | 71.641 | 74.761 | 68.933 |
總資産 | 13014.6 | 12552 | 11761 | 12127.1 | 9959.83 |
物業/廠房/設備,總計 - 淨額 | 2798.11 | 2624.86 | 2552.92 | 2498.08 | 1268.32 |
物業/廠房/設備,總計 - 總額 | 5199.61 | 4735.31 | 4460.72 | 4260.16 | 2940.44 |
累計折舊,總計 | -2401.51 | -2110.45 | -1907.8 | -1762.08 | -1672.12 |
商譽,淨額 | 7237.43 | 6852.96 | 6231.85 | 6486.33 | 6320.73 |
無形資産,淨額 | 552.19 | 508.524 | 480.404 | 468.57 | 444.008 |
長期投資 | 175.799 | 145.222 | 108.11 | 91.754 | 88.135 |
應收票據 - 長期 | 37.739 | 38.191 | 31.549 | 50.429 | 40.201 |
其他長期資産,總計 | 80.195 | 76.34 | 71.584 | 76.858 | 45.257 |
流動負債總額 | 1878.34 | 2084.27 | 2217.94 | 2070.13 | 1849.38 |
應付賬款 | 255.799 | 243.8 | 225.262 | 362.027 | 229.67 |
預提費用 | 342.608 | 328.166 | 302.538 | 259.826 | 221.068 |
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 | 346.791 | 341.858 | 551.431 | 663.121 | 826.004 |
其他流動負債,總計 | 933.145 | 1170.45 | 1138.71 | 785.159 | 572.642 |
負債總額 | 5278.12 | 5278.87 | 5376 | 6553.38 | 4547.5 |
長期債務總額 | 2753.69 | 2670.88 | 2683.38 | 3952.76 | 2209.59 |
長期債務 | 1673.46 | 1576.93 | 1592.38 | 2872.43 | 2207.88 |
資本租賃義務 | 1080.23 | 1093.94 | 1091 | 1080.33 | 1.711 |
遞延所得稅 | 332.731 | 264.24 | 190.505 | 173.335 | 151.116 |
少數股權 | 185.358 | 155.034 | 119.357 | 90.645 | 79.536 |
其他負債,總計 | 128.004 | 104.446 | 164.826 | 266.504 | 257.873 |
總權益 | 7736.5 | 7273.14 | 6384.99 | 5573.75 | 5412.33 |
普通股 | 3842.42 | 3866.85 | 4082.12 | 4001.06 | 3967.1 |
留存收益(累計赤字) | 3413.13 | 3241.95 | 2228.86 | 1318.28 | 1225.15 |
Treasury Stock - Common | 0 | -5.902 | -0.14 | -0.147 | -0.209 |
Unrealized Gain (Loss) | 5.193 | 3.272 | 3.272 | 3.272 | 3.272 |
其他權益,總計 | 475.76 | 166.967 | 70.871 | 251.294 | 217.016 |
總負債和股東權益 | 13014.6 | 12552 | 11761 | 12127.1 | 9959.83 |
已發行普通股總數 | 470.806 | 471.637 | 477.919 | 475.176 | 473.948 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
流動資産總額 | 2133.17 | 2028.97 | 2305.91 | 2363.84 | 2284.57 |
現金和短期投資 | 797.994 | 730.772 | 779.997 | 735.329 | 899.827 |
现金 | 797.994 | 730.772 | 779.997 | 735.329 | 899.827 |
應收賬款總額,淨額 | 1022.17 | 975.365 | 1217.46 | 1284.74 | 1088.72 |
應收賬款 - 貿易,淨額 | 1022.17 | 975.365 | 1217.46 | 1284.74 | 1088.72 |
總庫存 | 199.201 | 214.325 | 216.193 | 257.723 | 224.388 |
其他流動資産,總計 | |||||
總資産 | 13014.6 | 12536.4 | 12552 | 12464.2 | 11761 |
物業/廠房/設備,總計 - 淨額 | 2798.11 | 2661.81 | 2624.86 | 2580.42 | 2552.92 |
商譽,淨額 | 7237.43 | 7035.06 | 6852.96 | 6721.25 | 6231.85 |
無形資産,淨額 | 552.19 | 529.015 | 508.524 | 491.093 | 480.404 |
長期投資 | 175.799 | 163.699 | 145.222 | 191.613 | 108.11 |
應收票據 - 長期 | 37.739 | 38.594 | 38.191 | 36.876 | 31.549 |
其他長期資産,總計 | 80.195 | 79.272 | 76.34 | 79.104 | 71.584 |
流動負債總額 | 1878.34 | 1866.5 | 2084.27 | 1997.42 | 2217.94 |
應付賬款 | 959.992 | 920.991 | 1018.55 | 1020.97 | 1026.54 |
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 | 346.791 | 341.862 | 341.858 | 337.569 | 551.431 |
其他流動負債,總計 | 571.56 | 603.651 | 723.864 | 638.876 | 639.971 |
負債總額 | 5278.12 | 5142.56 | 5278.87 | 5410.33 | 5376 |
長期債務總額 | 2753.69 | 2691.32 | 2670.88 | 2880.66 | 2683.38 |
長期債務 | 1673.46 | 1619.64 | 1576.93 | 1789.46 | 1592.38 |
資本租賃義務 | 1080.23 | 1071.68 | 1093.94 | 1091.2 | 1091 |
遞延所得稅 | 332.731 | 299.485 | 264.24 | 241.502 | 190.505 |
少數股權 | 185.358 | 163.822 | 155.034 | 138.79 | 119.357 |
其他負債,總計 | 128.004 | 121.425 | 104.446 | 151.961 | 164.826 |
總權益 | 7736.5 | 7393.86 | 7273.14 | 7053.86 | 6384.99 |
普通股 | 3842.42 | 3760.06 | 3866.85 | 4144.01 | 4082.12 |
留存收益(累計赤字) | 3413.13 | 3329.7 | 3241.95 | 2781.15 | 2228.86 |
Treasury Stock - Common | 0 | -2.118 | -5.902 | -8.411 | -0.14 |
Unrealized Gain (Loss) | 5.193 | 6.777 | 3.272 | 3.272 | 3.272 |
其他權益,總計 | 475.76 | 299.438 | 166.967 | 133.842 | 70.871 |
總負債和股東權益 | 13014.6 | 12536.4 | 12552 | 12464.2 | 11761 |
已發行普通股總數 | 470.806 | 468.264 | 471.637 | 479.517 | 477.919 |
預付的費用 | 113.801 | 108.505 | 92.258 | 86.044 | 71.641 |
- 年度
- 每季度
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
经营活动产生的现金 | 2225.82 | 2042.84 | 1360.3 | 847.308 | 767.92 |
Cash Receipts | 9423.32 | 8808.46 | 6801.35 | 6258.44 | 5641.61 |
Cash Payments | -6744.34 | -6323.48 | -5209.42 | -5207.53 | -4713.56 |
Cash Taxes Paid | -378.188 | -342.219 | -136.413 | -126.303 | -89.332 |
已付现金利息 | -76.96 | -102.842 | -101.17 | -83.93 | -73.969 |
营运资金的变化 | 1.994 | 2.916 | 5.947 | 6.636 | 3.175 |
投资活动产生的现金 | -989.18 | -386.75 | -334.917 | -1099.33 | -464.436 |
资本支出 | -378.589 | -363.192 | -333.092 | -386.648 | -327.623 |
其他投资现金流量项目,总计 | -610.591 | -23.558 | -1.825 | -712.681 | -136.813 |
融资活动产生的现金 | -1349.29 | -1954.66 | -536.736 | 687.666 | -433.419 |
融资现金流项目 | -15.472 | -10.719 | -8.663 | -8.611 | -6.857 |
Total Cash Dividends Paid | -455.397 | -415.513 | -403.667 | -365.112 | -233.673 |
股票的发行(报废),净额 | -253.733 | 53.633 | 22.997 | 943.975 | 15.427 |
债务的发行(退还),净额 | -624.692 | -1582.06 | -147.403 | 117.414 | -208.316 |
外汇效应 | -7.177 | -31.75 | 4.858 | -12.267 | 5.586 |
现金净变化 | -119.83 | -330.322 | 493.503 | 423.378 | -124.349 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Cash From Operating Activities | 785.272 | 2225.82 | 1040.64 | 2042.84 | 810.478 |
Cash Receipts | 4463.68 | 9423.32 | 4704.53 | 8808.46 | 4372 |
Cash Payments | -3395.91 | -6744.34 | -3398.64 | -6323.48 | -3286.88 |
Cash Taxes Paid | -246.523 | -378.188 | -227.494 | -342.219 | -221.771 |
Cash Interest Paid | -40.395 | -76.96 | -38.506 | -102.842 | -54.472 |
Changes in Working Capital | 4.418 | 1.994 | 0.742 | 2.916 | 1.596 |
Cash From Investing Activities | -258.086 | -989.18 | -755.817 | -386.75 | -208.331 |
Capital Expenditures | -221.322 | -378.589 | -174.583 | -363.192 | -187.201 |
Other Investing Cash Flow Items, Total | -36.764 | -610.591 | -581.234 | -23.558 | -21.13 |
Cash From Financing Activities | -584.548 | -1349.29 | -462.128 | -1954.66 | -931.055 |
Financing Cash Flow Items | -4.308 | -15.472 | -3.926 | -10.719 | -4.65 |
Total Cash Dividends Paid | -283.382 | -455.397 | -263.441 | -415.513 | -243.488 |
Issuance (Retirement) of Stock, Net | -112.383 | -253.733 | 31.86 | 53.633 | 51.413 |
Issuance (Retirement) of Debt, Net | -184.475 | -624.692 | -226.621 | -1582.06 | -734.33 |
Foreign Exchange Effects | 8.137 | -7.177 | 12.806 | -31.75 | -44.4 |
Net Change in Cash | -49.225 | -119.83 | -164.498 | -330.322 | -373.308 |
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