7.45 EUR +0.16 +2.18%

7/1/2021 L&S

Plus500. 72% of retail CFD accounts lose money

  • All
  • Buy
  • Hold
  • Sell
  2021 2022 2023
Revenue 6,949 8,952 9,392
Dividend 0.00 0.00 -
Dividend Yield (in %) - - -
EPS 1.02 1.10 1.28
P/E Ratio 8.50 7.88 6.77
EBIT -675 1,338 1,480
EBITDA 656 932 1,041
Net Profit 321 517 605
Net Profit Adjusted 321 517 605
Pre-Tax Profit 844 874 980
Net Profit (Adjusted) 844 874 980
EPS (Non-GAAP) ex. SOE 1.02 1.10 1.28
EPS (GAAP) 1.79 1.10 1.28
Gross Income 929 - -
Cash Flow from Investing -3,462 -2,815 -
Cash Flow from Operations 2,071 2,495 -
Cash Flow from Financing 1,959 281 -
Cash Flow per Share 9.30 8.52 7.89
Free Cash Flow 2,342 2,721 -
Free Cash Flow per Share 0.95 1.27 -
Book Value per Share 2.11 2.50 3.78
Net Debt -177 -986 -1,451
Research & Development Exp. - - -
Capital Expenditure 130 140 150
Selling, General & Admin. Exp. 589 648 -
Shareholder’s Equity 663 1,180 1,784
Total Assets 19,314 20,014 -
  Previous Quarter
ending 06/30/21
Current Quarter
ending 09/30/21
Next Quarter
ending 12/31/21
Current Year
ending 12/31/21
Next Year
ending 12/31/22
Earnings Estimates
No. of Analysts 1 1 1 1 1
Average Estimate 0.700 USD 0.390 USD 0.170 USD 1.020 USD 1.100 USD
Year Ago -3.510 USD -0.440 USD -1.200 USD -7.660 USD 1.020 USD
Publish Date 8/9/2021 11/8/2021 2/28/2022 - -
Revenue Estimates
No. of Analysts 1 1 1 1 1
Average Estimate 1,751 USD 2,061 USD 1,848 USD 6,949 USD 8,952 USD
Year Ago 832 USD 1,268 USD 1,235 USD 5,258 USD 6,949 USD
Publish Date 8/9/2021 11/8/2021 2/28/2022 - -

* Average Estimates in Million (e.g. Revenue) or per share (e.g. Dividend). Source: FactSet

*Price and Yield of the Respective Date

Hertz Global Holdings, Inc. engages in the provision of car rental services. It operates through the following segments: U. S. Rental Car, International Rental Car, and All Other Operations. The U. S. Rental Car segment deals with rental of vehicles, as well as sales of ancillary products and services in the U.

Risk

  • Low
  • Medium
  • High

Moody’s Daily Credit Risk Score is a 1-10 score of a company’s credit risk, based on an analysis of the firm’s balance sheet and inputs from the stock market. The score provides a forward-looking, one-year measure of credit risk, allowing investors to make better decisions and streamline their work ow. Updated daily, it takes into account day-to-day movements in market value compared to a company’s liability structure.

Owner in %
Carl Celian Icahn 29.49
PAR Capital Management, Inc. 5.61
Renaissance Technologies LLC 5.16
DFA US Small Cap Value Portfolio 3.23
GAMCO Asset Management, Inc. 2.91
BlackRock Fund Advisors 2.90
Lyrical Asset Management LP 2.80
Dimensional Fund Advisors LP 1.77
LB Hercules Holdings LLC 1.58
BlackRock Institutional Trust Co. NA 1.29
Susquehanna Securities LLC 1.19
Charles Schwab Investment Management, Inc. 1.12
Government Pension Fund - Global (The) 1.10
Norges Bank (13F) 1.10
State Street Corp. 1.06

Shareholder percentage totals can add to more than 100% because some holders are included in the free float.

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