Equinor A - 股票

Equinor A 资产回报率 2024

Equinor A 资产回报率

0.08

股票代码

EQNR.OL

ISIN

NO0010096985

WKN

675213

在2024年,Equinor A的总资产收益率 (ROA)为0.08,较上一年的0.18 ROA增长了-54.5%

Equinor A Aktienanalyse

Equinor A在做什么?

Equinor ASA is a Norwegian energy company based in Stavanger, formerly known as Statoil. The company was founded in 1972 by the Norwegian government to take over the exploration and production of oil and gas in Norwegian waters. Since its inception, Equinor ASA has expanded its business to other countries and is now operating in over 30 countries worldwide. In addition to oil and gas exploration and production, the company has also invested in renewable energy, including wind power, hydropower, and solar energy. Equinor ASA's business model is focused on utilizing both short-term and long-term growth opportunities to build a sustainable business. The short-term opportunities focus on oil and gas exploration and production, while the long-term opportunities lie in renewable energy. Equinor ASA operates different business areas in various countries. In Norway, the company operates most of its oil and gas fields, including the giant Johan Sverdrup oil field off the coast of Stavanger. The field has an estimated capacity of 2.7 billion barrels of oil and is expected to produce until 2040. Equinor ASA is also active in other countries such as the UK, Brazil, and the US, where the company conducts offshore drilling and onshore production. In Brazil, Equinor ASA operates the Petrobras oil field, one of the largest in Latin America. The company has also invested in renewable energy and is now one of the world's leading operators of offshore wind farms. Equinor ASA operates several wind farms off the coasts of Norway, Germany, and the UK. In addition to oil, gas, and renewable energy production, Equinor ASA also offers other products, including liquefied natural gas (LNG), lubricants, and petrochemicals. The company also operates a refinery in Norway and a chemical plant in the Netherlands. In terms of sustainability, Equinor ASA has set ambitious goals. By 2050, the company aims to reduce its CO2 emissions by 40%, and by 2030, it aims to reduce its emissions-intensive oil and gas operations by 30%. In terms of renewable energy, Equinor ASA aims to build an installed capacity of 12 to 16 gigawatts of renewable energy by 2035. In 2020, Equinor ASA announced its plan to discontinue exploration for oil and gas in new areas. Instead, the company intends to expand its business in renewable energy and achieve an installed capacity of 4 to 6 gigawatts of offshore wind energy by 2035. Overall, Equinor ASA is a large and diverse energy company that is capable of utilizing both short-term and long-term growth opportunities. With its strength in oil and gas exploration and production, as well as renewable energy, the company is well-positioned to respond to the challenges of the coming years. Equinor A ist eines der beliebtesten Unternehmen auf Eulerpool.com.

资产回报率的详细信息

Equinor A的资本回报率(ROA)理解

Equinor A的资本回报率(ROA)是一个关键指标,用于衡量公司相对于总资产的盈利能力。它通过将净利润除以总资产来计算。较高的ROA表明公司有效利用资产获取收益,反映了管理效率和财务健康状况。

年度对比

比较Equinor A的年度ROA能提供关于公司运营效率和资产使用趋势的洞察。ROA的增加显示了改进的资产效率和盈利能力,而ROA的下降可能表明存在运营或财务挑战。

对投资的影响

投资者视Equinor A的ROA为评估公司盈利能力和效率的关键指标。较高的ROA意味着公司有效地使用其资产以获取收益,这使其可能成为一个吸引人的投资目标。

解读ROA波动

Equinor A的ROA波动可能是由于净利润、资产收购或运营效率的变化。分析这些波动有助于评估公司的财务表现,管理效率和战略财务定位。

关于Equinor A股票的常见问题

Equinor A今年的资产回报率(ROA)是多少?

Equinor A今年的资产回报率(ROA)为0.08 undefined。

Equinor A去年的ROA有多高?

Equinor A的ROA与去年相比了-54.5%。

Equinor A的投资者面临高ROA的后果是什么?

对于Equinor A的投资者来说,高ROA是有利的,因为这表明公司有效地利用了其资产并获取了良好的收益。

Equinor A的投资者低ROA会有什么后果?

对于Equinor A的投资者来说,较低的ROA可能不利,因为这表明公司使用其资产的效率不高,可能会获得较低的利润。

Equinor A的ROA提升对公司有何影响?

ROA的提升Equinor A可能是资产利用效率提高和盈利能力增强的指标。

Equinor A的ROA降低会对公司产生什么影响?

ROA下降Equinor A可能是资产利用效率下降和盈利能力降低的指标。

Equinor A的ROA可能受哪些因素影响?

影响Equinor A的ROA的一些因素包括营业额、运营成本、资产结构和行业平均水平。

为什么Equinor A的ROA对投资者来说很重要?

Equinor A的ROA对投资者来说非常重要,因为它是衡量公司盈利能力和资产使用效率的指标。这可以向投资者提供信息,说明公司如何有效利用其资源来创造利润。

Equinor A可以采取哪些战略措施来提高ROA?

为了提高Equinor A的资产收益率(ROA),他们可以采取的措施包括节省成本、提高销售额、优化资产结构以及多样化业务活动。重要的是,公司需要对其财务状况进行深入审查,以确定最佳的战略措施来提高资产收益率。

Equinor A支付多少股息?

在过去的12个月中,Equinor A支付了1.4 USD 的股息。这相当于大约5.16 %的股息收益率。在未来的12个月内,Equinor A预计将支付1.86 USD的股息。

Equinor A的股息收益率有多高?

Equinor A当前的股息收益率为5.16 %。

Equinor A什么时候支付股息?

Equinor A按季度支付股息。这些股息将在, , , 月份分发。

Equinor A的股息有多安全?

Equinor A 在过去24年里每年都支付了股息。

Equinor A的股息有多高?

预计未来12个月的股息将达到1.86 USD。这相当于6.87 %的股息收益率。

Equinor A位于哪个行业?

Equinor A 被分配到“能源”板块。

Wann musste ich die Aktien von Equinor A kaufen, um die vorherige Dividende zu erhalten?

要获得Equinor A在支付的0.35 USD的最后一笔股息,你必须在的除息日之前持有该股票于你的账户中。

Equinor A最后一次支付股息是什么时候?

上一次股息发放日期为。

Equinor A在2023年的股息是多少?

在2023年,Equinor A 分配了0.78 USD作为股息。

Equinor A 的股息是以哪种货币支付的?

Equinor A的股息将以USD的形式分配。

股票储蓄计划为投资者提供了一种吸引人的方法,可以长期累积财富。主要优势之一是所谓的成本平均效应:通过定期投入固定金额于股票或股票基金,当价格低时自动买入更多份额,价格高时买入较少,这可能随着时间带来更优惠的平均每份成本。此外,股票储蓄计划还允许小额投资者接触到高价股票,因为他们可以用很小的金额参与其中。定期投资也促进了一种纪律投资策略,并有助于避免情绪化的决策,如冲动买卖。除此之外,投资者还能从股票的潜在增值以及可以再投资的股息分红中获益,这增强了复利效应,从而增加了投资资本的增长。

Equinor A 股票在以下供应商处可进行定投计划:Scalable Capital 与 Consorsbank

Andere Kennzahlen von Equinor A

我们对Equinor A 营业额股票的股票分析包括重要的财务指标,如收入、利润、市盈率、市销率、息税折旧摊销前利润,以及有关股息的信息。此外,我们还研究了诸如股票、市值、债务、股东权益和Equinor A 营业额的负债等方面。如果您在寻找关于这些主题的更详细信息,我们在子页面上提供了详细的分析: