Tutti gli annunci sugli utili — Globale

Il calendario degli utili è uno strumento utile che ti aiuta a tenere sotto controllo la situazione. Consente di tenere traccia delle società che stanno per annunciare i propri utili. È possibile vedere la data, l'EPS stimato e l'EPS dichiarato per ogni società disponibile. L'utile per azione è un indicatore della redditività di una società ed è di vitale importanza includerlo nella tua analisi fondamentale.

           
9432 NIPPON TEL & TEL CORP
84.396B0.030.02-0.00-12.9923.712B22.000B2025-05-092025-03-30
SCCO Southern Copper Corporation
76.638B1.011.140.043.592.838B2.931B2025-02-072024-12-30
2454 MEDIATEK INC
74.000B0.440.500.0510.434.128B4.145B2025-02-072024-12-30
CSU CONSTELLATION SOFTWARE INC
73.047B23.0018.76-0.86-4.382.731B2.541B2025-02-072024-12-30
LICI LIFE INSURA CORP OF INDIA
59.843B0.180.15-0.00-0.0815.182B27.405B2025-02-072024-12-30
ROSN Rosneft
56.965B0.5735.628B2025-02-072024-12-30
2010 SAUDI BASIC INDUSTRIES CORP.
54.286B0.100.09-0.05-34.589.563B9.816B2025-02-072024-12-30
1211 SAUDI ARABIAN MINING CO.
49.291B0.100.070.001.612.237B2.141B2025-02-072024-12-30
M&M MAHINDRA & MAHINDRA LTD
44.563B0.300.380.0513.563.617B3.288B2025-02-072024-12-30
GMEXICO/B GRUPO MEXICO SAB DE CV
39.577B0.110.130.018.084.046B4.127B2025-02-072024-12-30
DEWA DUBAI ELECTRICITY
36.155B0.010.02-0.01-28.751.991B2.683B2025-02-072024-12-30
BMRI BANK MANDIRI (PERSERO) TBK
28.735B0.010.010.005.512.420B2.449B2025-02-072024-12-30
FTV Fortive Corporation
27.149B0.911.170.054.471.563B1.620B2025-04-242025-03-30
UI Ubiquiti Inc.
27.050B2.222.280.146.54552.771M599.879M2025-05-092025-03-30
DANSKE DANSKE BANK A/S
25.564B0.851.070.099.131.920B2.063B2025-02-072024-12-30
ADVANC ADVANCED INFO SERVICE PUBLIC CO
24.169B0.080.090.017.121.607B1.611B2025-02-072024-12-30
035420 NAVER
23.465B1.782.610.7137.341.894B2.053B2025-02-072024-12-30
FE FirstEnergy Corp.
23.070B0.710.85-0.05-5.063.345B3.700B2025-02-072024-12-30
CBOE Cboe Global Markets, Inc.
21.856B2.182.10-0.03-1.24530.541M524.500M2025-05-022025-03-30
BBDC3 BRADESCO ON EJ N1
21.777B0.080.090.001.244.993B5.768B2025-02-072024-12-30
KOG KONGSBERG GRUPPEN ASA
20.153B0.750.730.011.841.185B1.127B2025-02-072024-12-30
8802 MITSUBISHI ESTATE CO
18.253B0.380.280.0519.743.797B2.588B2025-05-122025-03-30
EMSN EMS-CHEMIE N
16.730B1.082B1.209B2025-02-072024-12-30
DIB DUBAI ISLAMIC BANK
15.304B0.060.070.0235.37833.259M822.956M2025-02-072024-12-30
2020 SABIC AGRI-NUTRIENTS CO.
14.183B0.500.46-0.00-0.89766.640M758.528M2025-02-072024-12-30
PAA Plains All American Pipeline, L.P.
13.722B0.440.420.011.6514.095B12.402B2025-05-022025-03-30
SAB BANCO DE SABADELL
13.491B0.070.000.001.678B2025-04-242025-03-30
AVTR Avantor, Inc.
13.391B0.250.270.014.951.654B1.687B2025-04-252025-03-30
ADNOCDIST Abu Dhabi National Oil Company For Distribution
12.165B0.010.010.005.652.334B2.469B2025-02-072024-12-30
SAAB_B SAAB AB SER. B
11.121B0.190.24-0.01-5.661.444B1.877B2025-04-252025-03-30
2503 KIRIN HOLDINGS COMPANY LIMITED
10.302B0.180.0542.913.743B2025-05-132025-03-30
MAZDOCK MAZAGON DOCK SHIPBUIL LTD
10.119B0.190.17333.942M329.024M2025-02-072024-12-30
CDB CELCOMDIGI BERHAD
10.106B0.010.01-0.00-4.52756.920M2025-02-072024-12-30
7202 ISUZU MOTORS
9.674B0.100.35-0.13-26.675.545B5.212B2025-05-092025-03-30
SUM Summit Materials, Inc.
9.217B0.420.750.0710.171.015B1.112B2025-02-072024-12-30
SKA_B SKANSKA AB SER. B
9.082B0.290.500.048.353.695B4.554B2025-05-072025-03-30
INTUCH INTOUCH HOLDINGS PCL
9.002B0.030.030.007.46002025-02-072024-12-30
NHPC NHPC LTD
8.904B0.010.01-0.00-21.60240.416M364.244M2025-02-072024-12-30
BALD_B FASTIGHETS AB BALDER SER. B
8.727B0.110.130.000.78299.070M316.344M2025-02-072024-12-30
024110 INDUSTRIAL BANK OF KOREA
8.323B0.400.790.1014.741.287B1.649B2025-02-072024-12-30
316140 WOORIFINANCIALGROUP
7.985B0.390.940.1214.291.623B2.050B2025-02-072024-12-30
OIL OIL INDIA LTD
7.886B0.110.15-0.01-3.58629.494M658.687M2025-02-072024-12-30
YAR YARA INTERNATIONAL ASA
7.580B0.840.36-0.26-41.863.789B3.400B2025-04-252025-03-30
ALKEM ALKEM LABORATORIES LTD.
7.174B0.600.69-0.00-0.31405.062M407.541M2025-02-072024-12-30
BCI BANCO DE CREDITO E INVERSIONES
7.097B0.771.070.1516.57697.730M690.656M2025-02-072024-12-30
SCHA SCHIBSTED ASA
6.984B0.090.470.30167.17187.534M184.685M2025-05-072025-03-30
1301 FORMOSA PLASTIC
6.686B-0.00-0.02-0.01-184.061.535B1.588B2025-02-072024-12-30
GMXT GMEXICO TRANSPORTES SAB DE CV
6.653B0.030.030.003.15737.114M767.675M2025-02-072024-12-30
HL. HARGREAVES LANSDOWN ORD GBP0.004
6.485B2025-02-072024-12-30
8331 CHIBA BANK
6.192B0.150.15-0.00-2.73313.071M565.836M2025-05-082025-03-30
LINDEINDIA LINDE INDIA LTD
6.124B0.1593.877M75.716M2025-02-072024-12-30
003490 KOREAN AIRLINES
6.110B3.008B3.534B2025-02-072024-12-30
9143 SG HOLDINGS CO LTD
6.051B0.230.260.0948.342.465B2.613B2025-04-252025-03-30
SWEC_A SWECO AB SER. A
5.865B0.170.15-0.00-1.19753.844M729.000M2025-04-292025-03-30
GLO GLOBE TELECOM, INC.
5.705B0.70-0.01-0.79778.511M2025-05-072025-03-30
FORTIS FORTIS HEALTHCARE LTD
5.611B0.030.040.0011.52220.735M237.316M2025-02-072024-12-30
2290 YANBU NATIONAL PETROCHEMICAL CO.
5.599B0.060.06-0.02-24.26427.904M433.292M2025-02-072024-12-30
9684 SQUARE ENIX HOLDINGS CO.LTD.
5.372B0.300.690.2452.37549.413M578.302M2025-05-192025-03-30
SB1NO SPAREBANK 1 SOR-NORGE ASA
5.345B0.340.490.035.72282.012M260.416M2025-02-072024-12-30
ROAD Construction Partners, Inc.
5.043B-0.060.250.1068.54523.421M561.580M2025-05-092025-03-30
WTM White Mountains Insurance Group, Ltd.
5.026B-50.78-17.78-53.882025-05-122025-03-30
5347 VANGUARD INTERNATIONAL SEMICONDUCTO
5.024B0.030.040.005.77339.721M371.224M2025-02-072024-12-30
8439 TOKYO CENTURY CORPORATION
4.916B0.240.38-0.14-26.422.044B2.200B2025-05-082025-03-30
KCR KONECRANES PLC
4.909B1.391.400.032.381.213B1.191B2025-02-072024-12-30
3289 TOKYU FUDOSAN HOLDINGS CORPORATION
4.772B0.260.200.0749.002.603B1.653B2025-05-092025-03-30
TTKOM TURK TELEKOM
4.769B0.011.255B1.164B2025-02-072024-12-30
4021 NISSAN CHEMICAL CORPORATION
4.164B0.530.520.0817.64487.802M360.275M2025-05-192025-03-30
IVG IVECO GROUP
4.162B0.320.390.0412.593.492B4.717B2025-05-152025-03-30
6525 KOKUSAI ELECTRIC CORPORATION
4.110B0.260.22-0.02-8.10443.247M382.344M2025-05-092025-03-30
PAGP Plains GP Holdings, L.P.
4.107B0.46-0.05-0.51-110.9714.587B12.402B2025-05-022025-03-30
7167 MEBUKI FINANCIAL GROUP INC
4.094B0.11613.110M2025-05-092025-03-30
FLO Flowers Foods, Inc.
4.083B0.390.220.027.491.592B1.111B2025-05-152025-03-30
SPR Spirit Aerosystems Holdings, Inc.
4.080B-1.59-3.03-2.42-399.371.519B1.471B2025-02-072024-12-30
6753 SHARP CORP
4.076B0.01-0.26-0.24-1319.953.491B3.571B2025-05-082025-03-30
VONN VONTOBEL N
4.054B770.261M2025-07-242025-06-29
AIAENG AIA ENGINEERING LTD
3.928B0.330.32-0.06-15.66134.483M124.625M2025-02-072024-12-30
HONAUT HONEYWELL AUTOMATION IND
3.842B1.901.55-0.48-23.68134.492M122.202M2025-02-072024-12-30
GP GRAMEENPHONE LTD
3.728B0.05327.897M2025-02-072024-12-30
2501 SAPPORO HOLDINGS LIMITED
3.702B-0.100.002.04893.511M2025-05-142025-03-30
OLAELEC OLA ELECTRIC MOBILITY LTD
3.618B-0.01-0.01-0.00-45.70125.012M144.891M2025-02-072024-12-30
6919 CALIWAY BIOPHARMACEUTICALS CO LTD
3.604B-0.04-0.030.0131.45243.632K723.327K2025-02-072024-12-30
THULE THULE GROUP AB
3.515B-0.010.280.025.89148.787M229.712M2025-02-072024-12-30
UNVR UNILEVER INDONESIA
3.514B0.000.00-0.00-54.42457.276M552.618M2025-02-072024-12-30
047810 KOREA AEROSPACE INDUSTRIES
3.501B0.270.530.1022.26729.723M685.692M2025-02-072024-12-30
MWG MOBILE WORLD INVESTMENT CORPORATION
3.455B0.030.030.001.091.371B1.400B2025-02-072024-12-30
GILLETTE GILLETTE INDIA LTD
3.312B0.4981.295M93.308M2025-02-072024-12-30
CHOLAHLDNG CHOLAMANDALAM FIN HOL LTD
3.207B2025-02-072024-12-30
NH NARAYANA HRUDAYALAYA LTD.
3.202B0.100.12-0.01-4.28154.591M167.090M2025-02-072024-12-30
029780 SAMSUNG CARD CO., LTD.
3.164B0.73665.799M667.548M2025-02-072024-12-30
8359 HACHIJUNI BANK
3.121B0.16386.745M2025-04-252025-03-30
071050 KOREA INVESTMENT HOLDINGS
3.093B7.45376.851M551.880M2025-02-072024-12-30
SISE SISE CAM
3.039B1.180B2025-02-072024-12-30
6324 HARMONIC DRIVE SYSTEMS
3.031B0.310.03-0.02-35.9991.925M87.793M2025-05-092025-03-30
006800 MIRAE ASSET SECURITIES
2.963B340.394M577.584M2025-02-072024-12-30
TOASO TOFAS OTO. FAB.
2.939B795.131M2025-02-072024-12-30
NWL Newell Brands Inc.
2.910B0.030.160.0214.871.597B1.949B2025-04-252025-03-30
SUNTV SUN TV NETWORK LTD
2.873B0.120.12-0.00-3.02101.739M107.439M2025-02-072024-12-30
4088 AIR WATER INC
2.863B0.411.992B1.761B2025-05-072025-03-30
BURJEEL BURJEEL HOLDINGS PLC
2.858B0.010.010.000.00358.557M2025-02-072024-12-30
FSL FIRSTSOURCE SOLU. LTD.
2.803B0.030.02-0.00-1.64242.054M229.796M2025-02-072024-12-30
DELHIVERY DELHIVERY LTD
2.731B0.010.00-0.01-85.19282.153M261.341M2025-02-072024-12-30
2350 SAUDI KAYAN PETROCHEMICAL CO.
2.694B-0.06-0.05-0.01-13.42618.679M638.494M2025-02-072024-12-30
3436 SUMCO CORPORATION
2.652B0.07-0.00-6.22656.799M635.714M2025-05-082025-03-30
1721 COMSYS HOLDINGS CORP
2.464B0.640.460.012.891.336B976.718M2025-05-092025-03-30
MOBN MOBIMO N
2.461B7.34-6.45-46.7768.928M69.519M2025-02-072024-12-30
4613 KANSAI PAINT CO LTD
2.425B0.180.580.1742.50942.392M958.420M2025-05-092025-03-30
CARBORUNIV CARBORUNDUM UNIVERSAL LTD
2.414B0.080.07-0.01-8.27146.192M146.096M2025-02-072024-12-30
GT The Goodyear Tire & Rubber Company
2.409B0.300.370.1565.764.856B4.824B2025-02-072024-12-30
LION Lionsgate Studios Corp.
2.387B0.430.220.19638.87982.500M713.800M2025-05-282025-03-30
MING SPAREBANK 1 SMN
2.322B0.410.44-0.01-2.71192.503M243.685M2025-02-072024-12-30
9045 KEIHAN HOLDINGS CO LTD
2.314B0.56541.282M480.962M2025-05-082025-03-30
6770 POWERCHIP SEMICONDUCTOR MANUFACTURI
2.314B-0.01-0.02-0.02-562.35348.266M366.412M2025-02-072024-12-30
1951 EXEO GROUP INC
2.254B0.420.160.015.051.479B1.054B2025-05-092025-03-30
2432 DENA CO LTD
2.239B0.120.730.61529.34263.323M295.517M2025-05-072025-03-30
GPSC GLOBAL POWER SYNERGY PCL
2.229B0.010.01-0.01-42.14671.675M645.135M2025-02-072024-12-30
PWP Perella Weinberg Partners
2.204B0.220.260.0523.81199.465M225.672M2025-05-012025-03-30
CENTURYPLY CENTURY PLYBOARDS (I) LTD
2.184B0.040.02-0.02-51.35128.289M141.263M2025-02-072024-12-30
8418 YAMAGUCHI FINANCIAL GROUP INC
2.168B0.27330.879M2025-05-092025-03-30
GSPL GUJARAT STATE PETRO LTD
2.161B0.030.080.0353.3331.106M30.792M2025-02-072024-12-30
LGND Ligand Pharmaceuticals Incorporated
2.154B1.191.840.4936.5939.027M51.812M2025-02-072024-12-30
ULCC Frontier Group Holdings, Inc.
2.135B-0.040.230.1076.47982.872M1.002B2025-05-012025-03-30
APAM APERAM
2.091B0.462.752.44782.141.527B1.662B2025-02-072024-12-30
AKZOINDIA AKZO NOBEL INDIA LTD
1.886B0.26118.294M2025-02-072024-12-30
CAPLIPOINT CAPLIN POINT LAB LTD.
1.883B0.2159.718M57.658M2025-02-072024-12-30
ARION ARION BANKI HF.
1.858B2025-02-072024-12-30
AFRY AFRY AB
1.856B0.290.13-0.07-36.42640.683M587.314M2025-02-072024-12-30
3107 DAIWABO HOLDINGS CO LTD
1.854B0.412.328B1.853B2025-05-192025-03-30
9072 NIKKON HOLDINGS CO LTD
1.842B0.30417.972M410.862M2025-05-092025-03-30
8129 TOHO HOLDINGS CO LTD
1.823B0.620.48-0.01-1.872.363B2.589B2025-05-092025-03-30
6976 TAIYO YUDEN CO LTD
1.818B-0.000.230.0740.71531.763M552.480M2025-05-072025-03-30
2607 FUJI OIL HOLDINGS INC
1.814B0.31-0.31-0.86-157.311.081B1.119B2025-05-072025-03-30
383220 F&F
1.765B1.511.65-0.59-26.42374.238M340.956M2025-02-072024-12-30
BELL BELL FOOD GROUP N
1.749B2.617B2.576B2025-02-072024-12-30
FFC FAUJI FERTILIZER CO LTD
1.697B0.060.060.0239.79535.155M179.207M2025-02-072024-12-30
ZENTEC ZEN TECHNOLOGIES LTD
1.694B0.0928.662M28.847M2025-02-072024-12-30
ACE ACTION CONST EQUIP LTD
1.693B2025-02-072024-12-30
9409 TV ASAHI HOLDINGS CORP
1.681B0.72524.342M535.576M2025-05-092025-03-30
011170 LOTTE CHEMICAL CORPORATION
1.636B-2.67-8.02-6.68-500.153.515B3.931B2025-02-072024-12-30
4260 UNITED INTERNATIONAL TRANSPORTATION CO.
1.587B0.27143.033M134.672M2025-02-072024-12-30
BFF BFF BANK
1.578B0.260.180.000.08121.820M96.310M2025-02-072024-12-30
NAVA NAVA LTD
1.570B2025-02-072024-12-30
9616 KYORITSU MAINTENANCE
1.567B0.170.410.011.29380.327M375.812M2025-05-142025-03-30
7313 TS TECH CO.LTD.
1.547B0.19747.860M743.573M2025-05-122025-03-30
5805 SWCC CORPORATION
1.538B0.920.900.1214.77392.779M387.044M2025-05-092025-03-30
NP3 NP3 FASTIGHETER AB
1.533B0.280.37-0.00-0.6646.440M48.118M2025-02-072024-12-30
6412 HEIWA CORP
1.525B0.66229.434M298.869M2025-05-092025-03-30
8086 NIPRO CORP
1.522B0.140.250.0315.261.041B1.064B2025-05-082025-03-30
4686 JUSTSYSTEMS CORPORATION
1.454B0.3678.238M2025-02-072024-12-30
8020 KANEMATSU CORP
1.446B0.331.674B2025-05-062025-03-30
DANA DANA GAS PJSC
1.445B0.020.0033.3378.000M77.000M2025-02-072024-12-30
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