Quels sont les états financiers clés de Redeia Corporacion SA ?
Selon le dernier état financier (Form-10K), Redeia Corporacion SA a un total d'actifs de $15,345, un bénéfice net 利润 de $505
Quels sont les ratios financiers clés pour RDEIF ?
Le ratio de liquidité de Redeia Corporacion SA est 1.51, la marge nette est 30.44, les ventes par action sont de $2.95.
Comment les revenus de Redeia Corporacion SA sont-ils répartis par segment ou géographie ?
Redeia Corporacion SA 最大收入来源是 Rental and Other Revenue from Real Estate Properties,在最近的收益报告中收入为 94,773,000。就地区而言, United States 是 Redeia Corporacion SA 的主要市场,收入为 95,630,000。
Redeia Corporacion SA est-elle rentable ?
是的, selon les derniers états financiers, Redeia Corporacion SA a un bénéfice net 利润 de $505
Redeia Corporacion SA a-t-elle des passifs ?
是的, Redeia Corporacion SA a un passif de 10,097
Combien d'actions en circulation Redeia Corporacion SA a-t-elle ?
Redeia Corporacion SA a un total d'actions en circulation de 540.92
关键数据
前收盘价
$17.75
开盘价
$17.68
当日区间
$17.01 - $17.68
52周范围
$16.6 - $21.36
交易量
--
平均成交量
258
股息收益率
--
每股收益(TTM)
1.10
市值
$9.2B
什么是 RDEIF?
Redeia Corporacion SA engages in the power transmission and operation of electrical systems. The company is headquartered in Alcobendas, Madrid and currently employs 2,099 full-time employees. The Company, through Red Electrica de Espana SAU, focuses on the management and operation of high-voltage electricity transmission grids, as well as is responsible for its development, maintenance, and improvement of the network’s installations. Its activities also include the coordination among generation, transmission, and distribution process of electric energy. The firm also manage telecommunications networks in Spain and Latin America through fleet of satellites and fiber optic assets. The firm is a parent of Redeia Group and operates through its subsidiaries and affiliates in several countries, such as Spain, the Netherlands, France, Peru, Chile, and Brazil.