交易 Steadfast Group Limited - SDFau CFD
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价差 | 0.0426 | ||||||||
多头隔夜费
多头隔夜费
前往平台 | -0.022726% | ||||||||
空头隔夜费
空头隔夜费
前往平台 | 0.000808% | ||||||||
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 |
---|---|---|---|---|---|---|
Mar 28, 2024 | 5.8587 | 0.0400 | 0.69% | 5.8187 | 5.8986 | 5.8088 |
Mar 27, 2024 | 5.8188 | 0.0899 | 1.57% | 5.7289 | 5.8287 | 5.7289 |
Mar 26, 2024 | 5.7190 | -0.0399 | -0.69% | 5.7589 | 5.7589 | 5.7090 |
Mar 25, 2024 | 5.7489 | -0.0199 | -0.34% | 5.7688 | 5.7689 | 5.7289 |
Mar 24, 2024 | 5.7589 | 0.0200 | 0.35% | 5.7389 | 5.7589 | 5.7189 |
Mar 22, 2024 | 5.7289 | 0.0499 | 0.88% | 5.6790 | 5.7689 | 5.6291 |
Mar 21, 2024 | 5.6690 | 0.0200 | 0.35% | 5.6490 | 5.6790 | 5.6291 |
Mar 20, 2024 | 5.6391 | -0.0399 | -0.70% | 5.6790 | 5.6790 | 5.6191 |
Mar 19, 2024 | 5.6790 | -0.0798 | -1.39% | 5.7588 | 5.7689 | 5.6690 |
Mar 18, 2024 | 5.7589 | -0.0399 | -0.69% | 5.7988 | 5.8088 | 5.7489 |
Mar 17, 2024 | 5.8088 | -0.0100 | -0.17% | 5.8188 | 5.8287 | 5.7888 |
Mar 15, 2024 | 5.8487 | 0.0100 | 0.17% | 5.8387 | 5.8687 | 5.7988 |
Mar 14, 2024 | 5.8387 | 0.0798 | 1.39% | 5.7589 | 5.8586 | 5.7189 |
Mar 13, 2024 | 5.7489 | -0.0299 | -0.52% | 5.7788 | 5.7988 | 5.7289 |
Mar 12, 2024 | 5.7689 | -0.0299 | -0.52% | 5.7988 | 5.8188 | 5.7189 |
Mar 11, 2024 | 5.8088 | 0.0200 | 0.35% | 5.7888 | 5.8188 | 5.7189 |
Mar 10, 2024 | 5.7888 | -0.0100 | -0.17% | 5.7988 | 5.8188 | 5.7788 |
Mar 8, 2024 | 5.8188 | -0.0299 | -0.51% | 5.8487 | 5.8587 | 5.8188 |
Mar 7, 2024 | 5.8387 | 0.0599 | 1.04% | 5.7788 | 5.8387 | 5.7289 |
Mar 6, 2024 | 5.7689 | 0.0300 | 0.52% | 5.7389 | 5.7888 | 5.7389 |
Steadfast Group 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 | 1411.9 | 1129 | 902 | 814.195 | 681.734 |
收入 | 1411.9 | 1129 | 902 | 814.195 | 681.734 |
收入成本,共計 | 283.6 | 255.1 | 193.3 | 159.946 | 144.775 |
毛利 | 1128.3 | 873.9 | 708.7 | 654.249 | 536.959 |
總營業費用 | 1074.3 | 849.8 | 672.3 | 806.809 | 522.475 |
銷售/一般/行政費用,總計 | 703.4 | 537.4 | 442.5 | 429.977 | 368.926 |
Depreciation / Amortization | 88.3 | 73.2 | 60.9 | 54.067 | 36.129 |
利息費用(收入) - 淨運營 | -20.7 | -19.5 | -28.3 | -20.329 | -16.345 |
異常費用(收入) | 19.7 | 3.6 | 3.9 | 114.162 | 0 |
Other Operating Expenses, Total | 0 | 68.986 | -11.01 | ||
營業收入 | 337.6 | 279.2 | 229.7 | 7.386 | 159.259 |
稅前淨收入 | 337.6 | 279.2 | 229.7 | 7.386 | 159.259 |
稅後淨收入 | 227.8 | 199.4 | 165.5 | -32.751 | 121.834 |
少數股東權益 | -38.6 | -27.8 | -22.5 | -22.493 | -17.989 |
未計算非常項目前的淨收益 | 189.2 | 171.6 | 143 | -55.244 | 103.845 |
淨收入 | 189.2 | 171.6 | 143 | -55.244 | 103.845 |
普通股股東可獲收益 (不含非經常性項目) | 189.2 | 171.6 | 143 | -55.244 | 103.845 |
普通股股東可獲收益 (含非經常性項目) | 189.2 | 171.6 | 143 | -55.244 | 103.845 |
攤薄調整 | |||||
攤薄淨收入 | 189.2 | 171.6 | 143 | -55.244 | 103.845 |
攤薄後加權平均股 | 1027.1 | 961.2 | 866.1 | 855.698 | 791.642 |
扣除特別項目的每股攤薄盈利 | 0.18421 | 0.17853 | 0.16511 | -0.06456 | 0.13118 |
Dividends per Share - Common Stock Primary Issue | 0.15 | 0.13 | 0.114 | 0.096 | 0.085 |
每股正常攤薄盈利 | 0.19715 | 0.1812 | 0.16835 | 0.02216 | 0.13118 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
總收入 | 747.8 | 664.1 | 609 | 520 | 463.2 |
收入 | 747.8 | 664.1 | 609 | 520 | 463.2 |
收入成本,共計 | 139.1 | 144.5 | 144.3 | 110.8 | 109.7 |
毛利 | 608.7 | 519.6 | 464.7 | 409.2 | 353.5 |
總營業費用 | 568.5 | 505.8 | 491.3 | 358.5 | 346.8 |
銷售/一般/行政費用,總計 | 370.7 | 332.7 | 283.9 | 253.5 | 218.3 |
Depreciation / Amortization | 45.9 | 42.4 | 37.9 | 35.3 | 31.1 |
利息費用(收入) - 淨運營 | -6.9 | -13.8 | 25.2 | -44.7 | -12.7 |
異常費用(收入) | 19.7 | 0 | 0 | 3.6 | 3.9 |
Other Operating Expenses, Total | -3.5 | ||||
營業收入 | 179.3 | 158.3 | 117.7 | 161.5 | 116.4 |
稅前淨收入 | 179.3 | 158.3 | 117.7 | 161.5 | 116.4 |
稅後淨收入 | 127.5 | 100.3 | 82.9 | 116.5 | 82.7 |
少數股東權益 | -23 | -15.6 | -16.2 | -11.6 | -13.1 |
未計算非常項目前的淨收益 | 104.5 | 84.7 | 66.7 | 104.9 | 69.6 |
淨收入 | 104.5 | 84.7 | 66.7 | 104.9 | 69.6 |
普通股股東可獲收益 (不含非經常性項目) | 104.5 | 84.7 | 66.7 | 104.9 | 69.6 |
普通股股東可獲收益 (含非經常性項目) | 104.5 | 84.7 | 66.7 | 104.9 | 69.6 |
攤薄淨收入 | 104.5 | 84.7 | 66.7 | 104.9 | 69.6 |
攤薄後加權平均股 | 1058.1 | 996.1 | 1014.8 | 907.6 | 867.1 |
扣除特別項目的每股攤薄盈利 | 0.09876 | 0.08503 | 0.06573 | 0.11558 | 0.08027 |
Dividends per Share - Common Stock Primary Issue | 0.09 | 0.06 | 0.078 | 0.052 | 0.07 |
每股正常攤薄盈利 | 0.112 | 0.08503 | 0.06573 | 0.11844 | 0.08346 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
流動資産總額 | 2081.5 | 1737.8 | 1410.9 | 1352.28 | 792.541 |
現金和短期投資 | 259.2 | 279.8 | 231.2 | 210.644 | 116.52 |
現金等價物 | 259.2 | 279.8 | 231.2 | 210.644 | 116.52 |
應收賬款總額,淨額 | 923.5 | 781.8 | 664.9 | 682.931 | 240.797 |
應收賬款 - 貿易,淨額 | 178.1 | 134.2 | 97 | 87.926 | 82.178 |
其他流動資産,總計 | 898.8 | 676.2 | 514.8 | 458.708 | 435.224 |
總資産 | 4885.1 | 3916.5 | 2982.5 | 2755.73 | 2157.2 |
物業/廠房/設備,總計 - 淨額 | 122.7 | 104.6 | 91 | 93.55 | 43.667 |
商譽,淨額 | 1985.7 | 1494.1 | 1082.2 | 930.309 | 945.498 |
無形資産,淨額 | 346.6 | 265.5 | 202 | 182.372 | 193.206 |
長期投資 | 264.5 | 243.3 | 141.2 | 130.662 | 135.484 |
應收票據 - 長期 | 42 | 35.3 | 27.8 | 46.511 | 33.711 |
其他長期資産,總計 | 42.1 | 35.9 | 27.4 | 20.042 | 13.09 |
流動負債總額 | 1498.2 | 1095 | 874.8 | 1149.41 | 674.604 |
應付賬款 | 868.3 | 648.7 | 488.6 | 435.572 | 410.334 |
應付票據/短期債務 | 46.2 | 32.1 | 27.2 | 399.309 | 7.165 |
長期債務的當前部分/資本租賃 | 23.7 | 24.9 | 20.6 | 14.782 | 25.707 |
其他流動負債,總計 | 398.2 | 267.9 | 228.7 | 199.918 | 132.166 |
負債總額 | 2843.7 | 2232 | 1823.7 | 1635.72 | 1141.73 |
長期債務總額 | 967.5 | 881.7 | 742.2 | 348.154 | 311.232 |
長期債務 | 921 | 844.2 | 716.8 | 318.222 | 311.232 |
遞延所得稅 | 134.3 | 98 | 65 | 46.521 | 57.858 |
少數股權 | 203.5 | 129.4 | 108.2 | 77.385 | 79.786 |
其他負債,總計 | 40.2 | 27.9 | 33.5 | 14.251 | 18.251 |
總權益 | 2041.4 | 1684.5 | 1158.8 | 1120.01 | 1015.47 |
普通股 | 1949 | 1638.9 | 1178.3 | 1149.6 | 912.517 |
留存收益(累計赤字) | 96.2 | 49.4 | -17.7 | -30.41 | 112.039 |
Treasury Stock - Common | -15.9 | -15.9 | -13.9 | -11.209 | -9.89 |
其他權益,總計 | -0.041 | 0.8 | |||
總負債和股東權益 | 4885.1 | 3916.5 | 2982.5 | 2755.73 | 2157.2 |
已發行普通股總數 | 1035.3 | 973.7 | 867.6 | 863.205 | 793.036 |
物業/廠房/設備,總計 - 總額 | |||||
累計折舊,總計 | |||||
Payable/Accrued | 161.8 | 121.4 | 109.7 | 99.827 | 99.232 |
預提費用 | |||||
資本租賃義務 | 46.5 | 37.5 | 25.4 | 29.932 | |
Unrealized Gain (Loss) | 12.1 | 12.1 | 12.1 | 12.069 |
Jun 2023 | Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | |
---|---|---|---|---|---|
流動資産總額 | 2081.5 | 2012.2 | 1737.8 | 1666.5 | 1410.9 |
現金和短期投資 | 259.2 | 250.7 | 279.8 | 220.5 | 231.2 |
現金等價物 | 259.2 | 250.7 | 279.8 | 220.5 | 231.2 |
應收賬款總額,淨額 | 923.5 | 891.9 | 781.8 | 774.2 | 664.9 |
應收賬款 - 貿易,淨額 | 178.1 | 121.2 | 134.2 | 83.5 | 166.9 |
其他流動資産,總計 | 898.8 | 869.6 | 676.2 | 671.8 | 514.8 |
總資産 | 4885.1 | 4700.7 | 3916.5 | 3826.7 | 2982.5 |
物業/廠房/設備,總計 - 淨額 | 122.7 | 115.4 | 104.6 | 98 | 91 |
商譽,淨額 | 1985.7 | 1886.3 | 1494.1 | 1477.2 | 1082.2 |
無形資産,淨額 | 346.6 | 340.5 | 265.5 | 272 | 202 |
長期投資 | 264.5 | 268 | 243.3 | 251.7 | 141.2 |
應收票據 - 長期 | 42 | 40.6 | 35.3 | 32.6 | 27.8 |
其他長期資産,總計 | 42.1 | 37.7 | 35.9 | 28.7 | 27.4 |
流動負債總額 | 1498.2 | 1336.3 | 1095 | 1489 | 874.8 |
應付賬款 | 868.3 | 815.3 | 648.7 | 622.2 | 488.6 |
Payable/Accrued | 161.8 | 136.7 | 121.4 | 124.1 | 109.7 |
應付票據/短期債務 | 46.2 | 39.7 | 32.1 | 451.6 | 27.2 |
長期債務的當前部分/資本租賃 | 23.7 | 22.7 | 24.9 | 24.8 | 20.6 |
其他流動負債,總計 | 398.2 | 321.9 | 267.9 | 266.3 | 228.7 |
負債總額 | 2843.7 | 2698.7 | 2232 | 2164.6 | 1823.7 |
長期債務總額 | 967.5 | 1061.3 | 881.7 | 447.9 | 742.2 |
長期債務 | 921 | 1017.4 | 844.2 | 417.9 | 716.8 |
資本租賃義務 | 46.5 | 43.9 | 37.5 | 30 | 25.4 |
遞延所得稅 | 134.3 | 119.4 | 98 | 89.1 | 65 |
少數股權 | 203.5 | 152 | 129.4 | 116.8 | 108.2 |
其他負債,總計 | 40.2 | 29.7 | 27.9 | 21.8 | 33.5 |
總權益 | 2041.4 | 2002 | 1684.5 | 1662.1 | 1158.8 |
普通股 | 1949 | 1949.1 | 1638.9 | 1638.9 | 1178.3 |
留存收益(累計赤字) | 96.2 | 56.5 | 49.4 | 26.8 | -17.7 |
Treasury Stock - Common | -15.9 | -15.7 | -15.9 | -15.7 | -13.9 |
Unrealized Gain (Loss) | 12.1 | 12.1 | 12.1 | 12.1 | 12.1 |
總負債和股東權益 | 4885.1 | 4700.7 | 3916.5 | 3826.7 | 2982.5 |
已發行普通股總數 | 1035.3 | 1035.3 | 973.7 | 973.8 | 867.6 |
- 年度
- 每季度
2022 | 2021 | 2020 | 2019 | 2018 | |
---|---|---|---|---|---|
经营活动产生的现金 | 247.7 | 249.7 | 221.652 | 161.348 | 123.224 |
Cash Receipts | 927.2 | 767.5 | 738.335 | 516.126 | 483.644 |
Cash Payments | -603.3 | -503.7 | -494.028 | -366.965 | -362.488 |
Cash Taxes Paid | -77 | -63.4 | -67.968 | -41.077 | -37.896 |
已付现金利息 | -16.2 | -11.6 | -16.006 | -12.789 | -9.946 |
营运资金的变化 | 17 | 60.9 | 61.319 | 66.053 | 49.91 |
投资活动产生的现金 | -262.4 | -113.4 | -104.688 | -47.76 | -135.094 |
资本支出 | -8.5 | -11.2 | -23.887 | -18.502 | -25.423 |
其他投资现金流量项目,总计 | -253.9 | -102.2 | -80.801 | -29.258 | -109.671 |
融资活动产生的现金 | 223.4 | -58.9 | 2.775 | 38.51 | 70.486 |
融资现金流项目 | 35.8 | -1.3 | -24.257 | -13.808 | -15.627 |
Total Cash Dividends Paid | -107.9 | -61.3 | -68.036 | -62.649 | -55.195 |
股票的发行(报废),净额 | 246.6 | -5.9 | 122.112 | -3.685 | 108.963 |
债务的发行(退还),净额 | 48.9 | 9.6 | -27.044 | 118.652 | 32.345 |
外汇效应 | -0.5 | -0.2 | -0.328 | 0.488 | -0.223 |
现金净变化 | 208.2 | 77.2 | 119.411 | 152.586 | 58.393 |
Dec 2022 | Jun 2022 | Dec 2021 | Jun 2021 | Dec 2020 | |
---|---|---|---|---|---|
Cash From Operating Activities | 135.8 | 247.7 | 82.3 | 249.7 | 194.7 |
Cash Receipts | 594.2 | 927.2 | 478.1 | 767.5 | 386 |
Cash Payments | -410.4 | -603.3 | -324.1 | -503.7 | -253.6 |
Cash Taxes Paid | -56.2 | -77 | -44.5 | -63.4 | -43.8 |
Cash Interest Paid | -10.6 | -16.2 | -6.7 | -11.6 | -6.3 |
Changes in Working Capital | 18.8 | 17 | -20.5 | 60.9 | 112.4 |
Cash From Investing Activities | -286.5 | -262.4 | -229.7 | -113.4 | -122.7 |
Capital Expenditures | -9.7 | -8.5 | -1.6 | -11.2 | -9.6 |
Other Investing Cash Flow Items, Total | -276.8 | -253.9 | -228.1 | -102.2 | -113.1 |
Cash From Financing Activities | 298.7 | 223.4 | 283.2 | -58.9 | 64.9 |
Financing Cash Flow Items | 63.1 | 35.8 | 30.3 | -1.3 | 13.1 |
Total Cash Dividends Paid | -69.1 | -107.9 | -57.1 | -61.3 | -34.6 |
Issuance (Retirement) of Stock, Net | 228 | 246.6 | 246.6 | -5.9 | -5.9 |
Issuance (Retirement) of Debt, Net | 76.7 | 48.9 | 63.4 | 9.6 | 92.3 |
Foreign Exchange Effects | 0.5 | -0.5 | 0.3 | -0.2 | -0.1 |
Net Change in Cash | 148.5 | 208.2 | 136.1 | 77.2 | 136.8 |
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