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Laureate Education Inc

LAUR
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35.980USD
-0.400-1.10%
Handelsschluss 09-08 16:00ET
4.96BMarktkapitalisierung
19.09KGV TTM

LAUR Bilanz

Hier können Sie die jährlichen oder vierteljährlichen Kontostände von Laureate Education Inc einsehen, um die finanzielle Gesundheit zu bewerten, Fundamentaldaten zu analysieren und wichtige Verhältnisse wie Liquidität, Hebel und Eigenkapitalrendite zu berechnen.
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2026Q2
FY2026Q1
FY2025Q4
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FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
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FY2023Q2
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FY2022Q4
FY2022Q3
FY2022Q2
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FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q1
FY2015Q4
FY2015Q2
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
19.45%161.67M
43.34%157.35M
60.59%146.70M
79.30%240.99M
5.05%135.35M
-13.03%109.78M
2.19%91.35M
2.71%134.41M
15.39%128.84M
-3.38%126.23M
4.96%89.39M
-58.98%130.86M
-28.84%111.65M
-55.54%130.64M
-73.78%85.17M
-82.82%319.04M
-63.27%156.91M
-47.65%293.83M
-56.70%324.80M
159.05%1.86B
-32.15%427.14M
2.68%561.33M
1118.25%750.15M
121.28%716.80M
166.29%629.55M
96.09%546.67M
-84.12%61.58M
-17.44%323.93M
-41.25%236.41M
-41.80%278.78M
20.97%387.78M
-22.30%392.35M
9.60%402.40M
-44.06%479.01M
-31.06%320.57M
4.88%504.96M
--367.16M
134.86%856.31M
1.37%464.96M
--481.47M
--364.60M
--458.67M
--370.80M
- Barmittel und Barmitteläquivalente
19.45%161.67M
43.34%157.35M
60.59%146.70M
79.30%240.99M
5.05%135.35M
-13.03%109.78M
2.19%91.35M
2.71%134.41M
15.39%128.84M
-3.38%126.23M
4.96%89.39M
-58.98%130.86M
-28.84%111.65M
-55.54%130.64M
-73.78%85.17M
-82.82%319.04M
-63.27%156.91M
-47.65%293.83M
-56.70%324.80M
159.05%1.86B
-32.15%427.14M
2.68%561.33M
1118.25%750.15M
121.28%716.80M
166.29%629.55M
96.09%546.67M
-84.12%61.58M
-17.44%323.93M
-41.25%236.41M
-41.80%278.78M
20.97%387.78M
-22.30%392.35M
9.60%402.40M
-44.06%479.01M
-31.06%320.57M
4.88%504.96M
--367.16M
134.86%856.31M
1.37%464.96M
--481.47M
--364.60M
--458.67M
--370.80M
Forderungen
9.32%163.46M
6.54%75.43M
38.88%137.32M
-0.94%93.56M
19.28%149.52M
-25.02%70.80M
-7.89%98.87M
-17.41%94.45M
-11.52%125.35M
-13.97%94.42M
-4.99%107.34M
14.52%114.35M
-28.95%141.67M
-29.71%109.75M
-38.09%112.97M
-42.46%99.85M
41.75%199.40M
20.17%156.13M
44.31%182.46M
-13.75%173.55M
-58.47%140.67M
-69.28%129.93M
54.40%126.44M
-52.18%201.22M
-17.43%338.75M
-21.22%422.97M
-66.41%81.89M
-4.59%420.83M
-13.51%410.26M
-15.66%536.92M
-30.20%243.80M
-33.07%441.09M
-11.59%474.34M
2.62%636.61M
-4.11%349.30M
4.19%659.01M
--536.49M
10.42%620.37M
6.14%364.28M
--632.52M
--561.82M
--343.22M
--538.26M
-Forderungen aus Lieferungen und Leistungen
14.50%157.58M
26.67%53.09M
34.33%119.01M
-9.76%78.55M
21.94%137.63M
-43.16%41.91M
-0.01%88.60M
2.30%87.05M
-2.33%112.87M
26.81%73.73M
24.40%88.60M
22.63%85.09M
22.32%115.56M
20.15%58.14M
27.73%71.22M
19.39%69.39M
25.94%94.47M
7.77%48.39M
-10.13%55.76M
-7.67%58.12M
-74.05%75.02M
-87.60%44.90M
-0.99%62.04M
-82.53%62.95M
-18.40%289.05M
-17.90%362.24M
-70.71%62.67M
-11.50%360.32M
-16.56%354.22M
-25.21%441.22M
-27.70%213.92M
-28.80%407.14M
-10.06%424.55M
4.80%589.99M
-2.71%295.89M
-0.93%571.84M
--472.05M
11.36%562.97M
7.46%304.15M
--577.19M
--505.56M
--283.05M
--462.99M
-Sonstige Forderungen
-76.40%1.95M
-55.56%2.44M
393.26%15.73M
48.01%6.19M
78.08%8.27M
-34.87%5.48M
-9.09%3.19M
-60.78%4.18M
-62.49%4.64M
-49.73%8.42M
-63.01%3.51M
83.00%10.66M
-84.21%12.38M
-79.25%16.74M
-90.14%9.49M
-94.28%5.82M
61.58%78.41M
14.91%80.69M
93.10%96.23M
107.86%101.74M
116.38%48.52M
237.85%70.22M
302.09%49.84M
342.30%48.95M
60.84%22.43M
54.78%20.79M
9.13%12.39M
-36.77%11.07M
-45.01%13.94M
-37.46%13.43M
-25.16%11.36M
-35.92%17.50M
-7.31%25.35M
-23.77%21.47M
-50.55%15.18M
-15.80%27.31M
--27.35M
-34.18%28.17M
-28.84%30.69M
--32.43M
--42.80M
--43.12M
--57.73M
Inventar
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--1.17M
Aktive Rechnungsabgrenzungsposten
13.54%34.53M
-18.03%32.23M
-3.54%28.96M
20.35%30.46M
15.86%30.41M
17.64%39.33M
55.67%30.02M
-4.47%25.31M
-13.50%26.25M
10.12%33.43M
-0.83%19.28M
35.56%26.49M
26.30%30.34M
44.32%30.36M
19.44%19.45M
-32.93%19.54M
18.06%24.02M
-11.60%21.03M
7.96%16.28M
37.57%29.14M
-62.23%20.35M
-67.66%23.80M
-49.42%15.08M
-66.91%21.18M
-45.07%53.88M
1.53%73.58M
-42.76%29.81M
-17.46%64.02M
-44.30%98.08M
-46.16%72.47M
-36.45%52.08M
-25.70%77.55M
21.01%176.10M
28.65%134.62M
-15.72%81.95M
-6.82%104.38M
--145.52M
8.35%104.64M
13.97%97.23M
--112.01M
--96.58M
--85.31M
--110.72M
Sonstige kurzfristige Vermögenswerte
-15.12%5.71M
-21.00%5.63M
-17.40%5.37M
-13.50%5.46M
-11.99%6.72M
-6.36%7.13M
-13.34%6.50M
-16.88%6.31M
-13.69%7.64M
-11.89%7.62M
-12.90%7.50M
-56.52%7.59M
-56.16%8.85M
-58.05%8.64M
-58.52%8.62M
-83.38%17.45M
-81.09%20.19M
-80.67%20.61M
-82.27%20.77M
240.28%105.00M
-42.50%106.77M
-45.70%106.63M
223.26%117.15M
-83.21%30.86M
-1.71%185.70M
-3.56%196.38M
-81.49%36.24M
-6.59%183.82M
3.30%188.94M
10.08%203.63M
-7.74%195.79M
-1.26%196.79M
-5.38%182.91M
-5.54%184.99M
12.09%212.22M
-25.78%199.30M
--193.31M
-27.85%195.84M
-23.81%189.32M
--268.53M
--271.41M
--248.48M
--215.43M
Summe der kurzfristigen Vermögenswerte
12.95%365.37M
18.68%270.65M
40.05%318.35M
41.92%370.46M
11.90%323.47M
-13.11%228.05M
1.29%227.31M
-6.78%261.04M
-1.54%289.06M
-6.06%262.45M
-0.79%224.41M
-38.57%280.03M
-26.70%293.58M
-43.17%279.39M
-58.44%226.20M
-78.99%455.88M
-55.35%400.52M
-62.51%491.61M
-62.30%544.32M
46.57%2.17B
-29.38%897.02M
-0.06%1.31B
57.61%1.44B
31.69%1.48B
13.32%1.27B
-6.31%1.31B
-24.74%916.07M
-22.71%1.12B
-11.86%1.12B
-6.21%1.40B
-5.55%1.22B
-6.76%1.45B
2.35%1.27B
-15.98%1.49B
15.49%1.29B
4.37%1.56B
--1.24B
34.38%1.78B
-1.75%1.12B
--1.49B
--1.32B
--1.14B
--1.24B
Langfristige Vermögenswerte
Nettoanlagevermögen
34.45%1.11B
35.21%1.09B
19.54%964.24M
5.28%853.59M
-3.72%828.08M
-13.68%804.14M
-13.62%806.64M
-9.91%810.74M
-8.16%860.09M
-0.48%931.58M
2.29%933.84M
5.65%899.96M
5.42%936.46M
3.85%936.06M
3.29%912.97M
-5.62%851.84M
-6.03%888.30M
-7.19%901.35M
-15.12%883.86M
-9.00%902.53M
-40.92%945.26M
-47.21%971.14M
-10.42%1.04B
-51.93%991.74M
-26.48%1.60B
-16.01%1.84B
-8.86%1.16B
64.04%2.06B
21.32%2.18B
15.57%2.19B
-7.61%1.28B
-38.05%1.26B
-18.77%1.79B
-13.68%1.90B
-35.84%1.38B
-6.77%2.03B
--2.21B
-1.33%2.20B
-6.08%2.15B
--2.18B
--2.23B
--2.29B
--2.41B
-Anlagevermögen
23.52%1.86B
25.93%1.81B
17.73%1.68B
7.88%1.55B
0.34%1.50B
-10.53%1.44B
-10.60%1.43B
-7.67%1.43B
-6.18%1.50B
3.42%1.60B
7.08%1.59B
9.91%1.55B
9.83%1.60B
6.25%1.55B
5.67%1.49B
-2.55%1.41B
-2.10%1.45B
-2.14%1.46B
-9.85%1.41B
-1.25%1.45B
-42.22%1.49B
-46.28%1.49B
-5.91%1.56B
-52.55%1.47B
-20.54%2.57B
-13.45%2.78B
-26.14%1.66B
38.16%3.09B
6.81%3.24B
1.76%3.21B
-3.02%2.25B
-31.29%2.24B
-12.74%3.03B
-7.08%3.15B
-29.27%2.32B
-1.74%3.26B
--3.47B
3.25%3.39B
-1.64%3.28B
--3.32B
--3.29B
--3.33B
--3.44B
-Abgegrenzte Abschreibungen
10.13%744.07M
14.12%720.16M
15.38%714.21M
11.25%692.27M
5.81%675.65M
-6.16%631.08M
-6.34%619.02M
-4.57%622.25M
-3.39%638.55M
9.35%672.54M
14.67%660.93M
16.38%652.06M
16.74%660.93M
10.11%615.06M
9.66%576.37M
2.52%560.27M
4.78%566.15M
7.26%558.59M
0.65%525.62M
14.89%546.53M
-44.35%540.33M
-44.44%520.78M
4.60%522.24M
-53.80%475.68M
-8.34%970.97M
-7.94%937.28M
-48.76%499.28M
4.98%1.03B
-14.25%1.06B
-19.05%1.02B
3.73%974.36M
-20.11%980.78M
-2.20%1.24B
5.01%1.26B
-16.73%939.33M
7.88%1.23B
--1.26B
12.84%1.20B
8.11%1.13B
--1.14B
--1.06B
--1.04B
--1.03B
Goodwill und andere immaterielle Vermögenswerte
7.52%816.44M
11.97%800.25M
12.96%803.50M
6.51%777.14M
-2.84%759.34M
-15.30%714.68M
-14.37%711.32M
-9.29%729.66M
-5.57%781.53M
8.47%843.81M
12.99%830.66M
15.29%804.41M
15.00%827.63M
8.69%777.92M
6.60%735.14M
-1.72%697.70M
-1.35%719.68M
-0.22%715.71M
-14.00%689.64M
-4.18%709.89M
-68.77%729.53M
-72.12%717.30M
-31.47%801.95M
-73.51%740.85M
-18.78%2.34B
-10.57%2.57B
-59.09%1.17B
-2.44%2.80B
-7.03%2.88B
-11.75%2.88B
-5.69%2.86B
-16.81%2.87B
-10.17%3.09B
-5.04%3.26B
-9.03%3.03B
0.36%3.45B
--3.44B
-0.89%3.43B
-6.86%3.33B
--3.43B
--3.46B
--3.58B
--3.88B
Langfristige Verbindlichkeiten
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-91.65%848.00K
-90.27%1.20M
274.22%1.32M
-88.85%1.43M
-30.51%10.15M
71.76%12.30M
-85.27%353.00K
5.36%12.82M
10.45%14.61M
-24.23%7.16M
-32.06%2.40M
-4.26%12.17M
85.36%13.23M
-85.03%9.45M
-94.23%3.53M
-79.90%12.71M
--7.14M
0.29%63.10M
3.18%61.16M
--63.24M
--62.92M
--59.27M
--8.71M
Sonstige langfristige Vermögenswerte
10.25%126.58M
19.26%121.33M
11.47%118.58M
3.69%113.73M
1.34%114.81M
-16.97%101.74M
-12.30%106.39M
7.17%109.69M
9.78%113.30M
20.01%122.53M
23.87%121.30M
9.66%102.35M
10.44%103.20M
6.92%102.10M
12.14%97.93M
-20.31%93.34M
-38.93%93.44M
-34.09%95.49M
-56.36%87.32M
-67.68%117.13M
-72.20%153.01M
-73.38%144.88M
36.71%200.11M
-4.42%362.37M
34.14%550.40M
39.04%544.15M
-61.07%146.38M
-3.11%379.12M
-11.93%410.32M
-22.72%391.36M
-8.91%376.00M
-7.70%391.31M
11.21%465.89M
20.33%506.39M
4.41%412.77M
24.95%423.93M
--418.93M
15.36%420.83M
5.79%395.34M
--339.29M
--364.78M
--373.70M
--499.47M
Summe der langfristigen Vermögenswerte
20.19%2.06B
23.33%2.01B
15.49%1.89B
4.80%1.75B
-3.40%1.71B
-14.83%1.63B
-14.02%1.63B
-8.32%1.67B
-5.57%1.77B
5.39%1.91B
8.89%1.90B
10.61%1.82B
10.34%1.88B
5.64%1.82B
4.74%1.75B
-5.83%1.64B
-38.10%1.70B
-45.82%1.72B
-52.74%1.67B
-52.78%1.74B
-41.31%2.75B
-38.81%3.17B
-36.79%3.53B
-35.19%3.69B
-21.56%4.68B
-19.40%5.19B
0.50%5.58B
2.97%5.70B
5.52%5.97B
6.80%6.43B
-9.01%5.55B
-11.03%5.54B
-7.65%5.66B
-1.79%6.02B
2.62%6.10B
3.47%6.22B
--6.13B
-3.78%6.13B
-5.66%5.95B
--6.01B
--6.37B
--6.30B
--6.80B
Summe der Vermögenswerte
19.04%2.42B
22.76%2.28B
18.49%2.21B
9.83%2.12B
-1.26%2.04B
-14.62%1.86B
-12.40%1.86B
-8.11%1.93B
-5.02%2.06B
3.86%2.18B
7.78%2.13B
-0.07%2.10B
3.28%2.17B
-5.21%2.10B
-10.81%1.97B
-46.38%2.10B
-42.34%2.10B
-50.70%2.21B
-55.51%2.21B
-24.36%3.91B
-38.77%3.65B
-30.98%4.48B
-23.48%4.97B
-24.17%5.18B
-16.05%5.95B
-17.06%6.50B
-4.04%6.50B
-2.37%6.82B
2.33%7.09B
4.21%7.83B
-8.41%6.77B
-10.18%6.99B
-5.96%6.93B
-4.98%7.52B
4.66%7.39B
3.65%7.78B
--7.37B
2.78%7.91B
-5.06%7.06B
--7.51B
--7.70B
--7.44B
--8.04B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
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-88.99%140.00M
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--1.27B
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-Weitere Verbindlichkeiten
-7.80%32.68M
3.33%28.21M
15.86%26.58M
9.87%36.82M
19.73%35.45M
3.59%27.30M
1.00%22.94M
7.40%33.51M
16.40%29.61M
21.19%26.35M
29.15%22.71M
47.90%31.20M
18.57%25.43M
28.74%21.75M
-2.82%17.59M
0.39%21.10M
8.83%21.45M
3.93%16.89M
19.78%18.10M
28.41%21.01M
-20.54%19.71M
-24.66%16.25M
7.54%15.11M
-38.04%16.36M
-19.07%24.80M
-6.34%21.57M
-69.86%14.05M
-37.21%26.41M
-23.35%30.65M
-45.29%23.03M
46.79%46.62M
-30.95%42.06M
-9.04%39.98M
-4.07%42.10M
-35.07%31.76M
16.30%60.92M
--43.96M
-37.48%43.89M
-11.38%48.92M
--52.38M
--70.20M
--55.20M
--45.58M
Rückstellungen
15.96%183.25M
23.00%165.42M
21.66%185.26M
7.77%172.42M
0.91%158.04M
-11.50%134.49M
-8.33%152.28M
-1.73%159.99M
-0.36%156.61M
15.63%151.96M
22.34%166.12M
16.20%162.80M
22.28%157.19M
-6.70%131.42M
-12.97%135.78M
-5.95%140.11M
-12.85%128.55M
-5.25%140.87M
-2.39%156.01M
-10.79%148.97M
-52.59%147.50M
-54.12%148.67M
-21.76%159.83M
-60.85%166.99M
-23.10%311.13M
-15.74%324.02M
-50.99%204.28M
-3.71%426.53M
-15.33%404.58M
-23.41%384.56M
-8.46%416.84M
-27.62%442.97M
-11.42%477.82M
-12.01%502.12M
-25.16%455.38M
-0.15%612.00M
--539.39M
-0.71%570.62M
-0.13%608.47M
--612.92M
--574.71M
--609.28M
--624.46M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
58.11%57.55M
151.64%55.12M
32.30%54.59M
32.28%30.36M
32.80%36.40M
-55.67%21.91M
-21.90%41.26M
-53.20%22.95M
-56.29%27.41M
-0.27%49.41M
-5.97%52.83M
5.71%49.05M
36.02%62.70M
-6.91%49.55M
14.47%56.18M
-7.04%46.40M
-9.51%46.10M
-15.26%53.22M
-48.78%49.08M
-43.84%49.92M
-76.78%50.94M
-68.57%62.80M
94.56%95.82M
-32.37%88.89M
45.93%219.42M
53.12%199.84M
-60.49%49.25M
3.03%131.43M
-17.57%150.37M
-21.93%130.51M
-20.42%124.64M
-40.59%127.57M
-47.22%182.42M
-46.87%167.17M
-47.39%156.62M
-27.52%214.73M
--345.65M
30.27%314.65M
39.49%297.67M
--296.28M
--241.54M
--213.40M
--266.38M
-Kurzfristige Leasingverpflichtungen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-88.72%5.43M
1737.23%88.89M
5453.17%211.30M
3964.91%191.25M
-52.25%48.14M
-95.37%4.84M
-97.59%3.81M
-96.43%4.71M
-17.27%100.82M
-43.77%104.50M
-25.70%157.94M
-25.94%131.74M
-31.91%121.87M
10.17%185.85M
--212.57M
-19.86%177.88M
-6.95%178.99M
--168.69M
--221.96M
--192.35M
--243.50M
Aufgeschobene Verbindlichkeiten
43.78%121.19M
15.89%130.35M
24.59%80.16M
4.60%90.83M
37.39%84.29M
-7.28%112.48M
-7.23%64.34M
7.16%86.84M
6.65%61.35M
5.64%121.31M
35.28%69.35M
9.11%81.04M
13.99%57.53M
18.32%114.83M
16.62%51.26M
8.75%74.27M
3.80%50.47M
13.01%97.06M
-6.83%43.96M
9.08%68.30M
-85.71%48.62M
-83.02%85.88M
-13.98%47.18M
-86.52%62.61M
19.94%340.34M
-9.11%505.72M
-71.61%54.85M
-0.20%464.34M
-19.37%283.76M
-17.63%556.38M
4.95%193.23M
-36.25%465.29M
-7.42%351.95M
-8.20%675.46M
-49.26%184.12M
-12.20%729.86M
--380.16M
6.05%735.83M
-27.45%362.89M
--831.30M
--693.85M
--500.19M
--576.26M
Andere kurzfristige Verbindlichkeiten
28.51%153.87M
13.44%158.56M
22.29%106.74M
6.07%127.65M
31.64%119.74M
-5.34%139.78M
-5.20%87.28M
7.23%120.35M
9.64%90.96M
8.11%147.66M
33.72%92.06M
17.69%112.24M
15.35%82.96M
19.86%136.58M
10.95%68.85M
6.78%95.37M
5.25%71.92M
11.57%113.95M
-0.37%62.06M
13.09%89.31M
-81.29%68.33M
-80.63%102.13M
-9.59%62.29M
-83.91%78.98M
16.14%365.15M
-9.00%527.29M
-71.27%68.90M
-3.27%490.75M
-19.78%314.41M
-19.25%579.42M
11.10%239.85M
-35.84%507.35M
-7.59%391.94M
-7.97%717.56M
-47.58%215.88M
-11.02%790.77M
--424.12M
0.99%779.72M
-27.07%411.81M
--888.73M
--772.06M
--564.69M
--641.11M
Summe der kurzfristigen Verbindlichkeiten
18.56%513.48M
19.99%474.75M
28.54%472.91M
11.51%459.34M
13.45%433.09M
-16.55%395.66M
-18.83%367.89M
-4.54%411.94M
-7.66%381.74M
16.27%474.14M
18.83%453.21M
-21.31%431.55M
11.76%413.41M
-4.40%407.78M
2.54%381.39M
-71.37%548.43M
-40.03%369.92M
-46.52%426.53M
-53.77%371.93M
85.29%1.92B
-44.24%616.79M
-39.18%797.51M
-23.01%804.55M
-24.88%1.03B
-8.24%1.11B
-18.13%1.31B
-12.19%1.05B
-10.48%1.38B
-3.71%1.21B
0.62%1.60B
-13.42%1.19B
-18.88%1.54B
-11.54%1.25B
-11.15%1.59B
-4.56%1.37B
-1.13%1.89B
--1.42B
-2.98%1.79B
-6.97%1.44B
--1.92B
--1.85B
--1.55B
--1.69B
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
77.76%630.67M
70.98%617.68M
19.80%404.92M
-18.24%348.26M
-31.56%354.78M
-30.46%361.26M
-28.45%337.98M
1.43%425.96M
2.68%518.40M
-13.26%519.53M
-14.56%472.36M
-1.00%419.96M
10.32%504.85M
26.63%598.93M
14.77%552.83M
-19.29%424.20M
-17.75%457.62M
-64.14%472.98M
-63.71%481.69M
-70.14%525.59M
-73.36%556.36M
-38.14%1.32B
-18.09%1.33B
-8.11%1.76B
0.81%2.09B
-29.11%2.13B
-38.03%1.62B
-24.16%1.92B
-25.78%2.07B
4.02%3.01B
-13.15%2.61B
-17.92%2.53B
-17.27%2.79B
-22.13%2.89B
-19.11%3.01B
-22.03%3.08B
--3.37B
-17.85%3.71B
-17.01%3.72B
--3.95B
--4.52B
--4.48B
--4.43B
-Langfristige Verbindlichkeiten
110.52%164.51M
76.64%160.72M
23.88%73.12M
-45.63%70.60M
-61.50%78.15M
-48.46%90.99M
-47.41%59.03M
56.32%129.84M
38.92%202.99M
-17.88%176.55M
-36.20%112.24M
6.00%83.06M
62.58%146.11M
116.22%214.98M
68.21%175.93M
-29.92%78.36M
-27.21%89.87M
-88.81%99.42M
-87.73%104.59M
-91.45%111.81M
-91.10%123.47M
-37.45%888.18M
-22.71%852.69M
17.35%1.31B
14.74%1.39B
-33.54%1.42B
-57.80%1.10B
-55.87%1.11B
-56.67%1.21B
-26.12%2.14B
-13.15%2.61B
-17.92%2.53B
-17.27%2.79B
-22.13%2.89B
-19.11%3.01B
-22.03%3.08B
--3.37B
-17.85%3.71B
-17.01%3.72B
--3.95B
--4.52B
--4.48B
--4.43B
-Langfristige Leasingverbindlichkeiten
68.51%466.15M
69.08%456.97M
18.94%331.79M
-6.23%277.66M
-12.30%276.63M
-21.20%270.27M
-22.54%278.96M
-12.11%296.12M
-12.08%315.41M
-10.67%342.98M
-4.45%360.12M
-2.58%336.90M
-2.45%358.74M
2.78%383.95M
-0.05%376.90M
-16.42%345.85M
-15.05%367.74M
-13.32%373.56M
-20.53%377.10M
-8.48%413.78M
-38.24%432.89M
-39.52%430.95M
-8.22%474.51M
-43.54%452.11M
-18.72%700.94M
-18.25%712.56M
--516.98M
--800.83M
--862.37M
--871.59M
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
Derivative-Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
--0.00
--0.00
--0.00
--8.14M
----
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-29.12%6.66M
-10.33%7.26M
-3.74%7.64M
89.46%14.77M
21.16%9.39M
-4.62%8.09M
--7.94M
-58.00%7.80M
-59.90%7.75M
--8.49M
--18.57M
--19.33M
--23.69M
Andere langfristige Verbindlichkeiten
-29.00%122.23M
-28.16%123.80M
-29.73%124.18M
2.13%175.46M
-5.38%172.14M
-5.56%172.33M
-4.03%176.73M
-5.30%171.80M
2.75%181.93M
6.35%182.47M
6.75%184.15M
9.77%181.41M
7.10%177.07M
3.50%171.57M
29.70%172.50M
71.14%165.27M
83.29%165.33M
74.79%165.76M
60.13%133.00M
30.71%96.56M
-56.21%90.20M
-54.81%94.83M
-9.53%83.06M
-70.82%73.88M
-23.44%205.97M
-21.99%209.87M
-70.99%91.81M
-22.28%253.14M
-28.53%269.05M
-34.05%269.01M
-7.59%316.46M
-14.19%325.71M
-7.75%376.43M
2.89%407.92M
-18.37%342.47M
-15.54%379.58M
--408.06M
-14.84%396.44M
-11.18%419.54M
--449.43M
--465.53M
--472.36M
--551.19M
Gesamt langfristige Verbindlichkeiten
39.71%768.51M
36.36%756.95M
1.69%544.68M
-13.06%537.70M
-27.90%550.06M
-27.87%555.11M
-25.94%535.62M
-11.73%618.49M
-2.80%762.87M
-11.06%769.64M
-11.27%723.26M
3.03%700.69M
9.71%784.88M
17.32%865.37M
16.76%815.10M
-11.59%680.07M
-5.20%715.41M
-58.82%737.60M
-63.27%698.11M
-66.77%769.21M
-70.47%754.62M
-31.21%1.79B
-27.87%1.90B
-11.15%2.32B
-7.64%2.56B
-33.06%2.60B
-25.02%2.63B
-24.89%2.61B
-22.08%2.77B
5.27%3.89B
-12.48%3.51B
-13.03%3.47B
-16.45%3.55B
-19.19%3.70B
-12.73%4.02B
-18.44%3.99B
--4.25B
-17.44%4.57B
-16.10%4.60B
--4.89B
--5.54B
--5.48B
--5.52B
Gesamtverbindlichkeiten
30.39%1.28B
29.55%1.23B
12.63%1.02B
-3.24%997.04M
-14.11%983.16M
-23.56%950.77M
-23.20%903.52M
-8.99%1.03B
-4.48%1.14B
-2.31%1.24B
-1.67%1.18B
-7.84%1.13B
10.41%1.20B
9.36%1.27B
11.82%1.20B
-54.24%1.23B
-20.86%1.09B
-55.03%1.16B
-60.45%1.07B
-19.83%2.68B
-62.54%1.37B
-33.88%2.59B
-26.49%2.71B
-15.90%3.35B
-7.82%3.66B
-28.71%3.92B
-21.77%3.68B
-20.46%3.98B
-17.29%3.97B
3.87%5.49B
-12.72%4.70B
-14.91%5.01B
-15.22%4.80B
-16.93%5.29B
-10.78%5.39B
-13.57%5.88B
--5.66B
-13.83%6.36B
-14.09%6.04B
--6.81B
--7.39B
--7.03B
--7.21B
Eigenkapital der Aktionäre
Stammkapital
-6.06%1.04B
-5.62%1.05B
-4.79%1.08B
-1.75%1.11B
-3.08%1.11B
-3.99%1.12B
-4.26%1.13B
-4.52%1.13B
-3.34%1.14B
-47.36%1.16B
-46.49%1.18B
-47.79%1.18B
-50.85%1.18B
-8.18%2.21B
-7.70%2.21B
-9.05%2.27B
-36.11%2.41B
-36.11%2.40B
-36.46%2.39B
-33.60%2.50B
0.18%3.76B
0.22%3.76B
0.95%3.76B
1.29%3.76B
1.34%3.76B
1.25%3.75B
0.56%3.73B
0.12%3.71B
0.23%3.71B
9.52%3.71B
7.48%3.70B
4.53%3.71B
9.72%3.70B
-1.30%3.38B
26.63%3.45B
30.62%3.55B
--3.37B
27.45%3.43B
1.30%2.72B
--2.71B
--2.69B
--2.69B
--2.69B
Gewinnrücklagen
20.73%390.50M
27.09%312.99M
42.94%416.89M
79.68%357.95M
152.45%323.47M
1314.47%246.27M
596.68%291.64M
89.78%199.21M
86.20%128.13M
37.78%17.41M
6.67%41.86M
128.94%104.97M
367.01%68.81M
144.05%12.64M
152.81%39.24M
538.99%45.85M
103.97%14.73M
91.61%-28.69M
108.78%15.52M
98.12%-10.45M
-262.44%-370.85M
-163.76%-341.85M
-140.51%-176.82M
-248.05%-556.14M
-51.51%228.30M
272.54%536.12M
182.22%436.51M
158.38%375.63M
185.83%470.86M
59.76%-310.73M
43.89%-530.92M
43.66%-643.41M
47.46%-548.62M
33.45%-772.28M
8.81%-946.24M
-5.85%-1.14B
---1.04B
23.28%-1.16B
26.38%-1.04B
---1.08B
---1.51B
---1.41B
---1.26B
Kapitalrücklagen
-6.06%1.04B
-5.62%1.05B
-4.79%1.08B
-1.75%1.11B
-3.08%1.11B
-3.99%1.11B
-4.26%1.13B
-4.52%1.13B
-3.34%1.14B
-47.36%1.16B
-46.49%1.18B
-47.80%1.18B
-50.86%1.18B
-8.19%2.21B
-7.70%2.20B
-9.06%2.27B
-36.12%2.40B
-36.12%2.40B
-36.47%2.39B
-33.61%2.49B
0.18%3.76B
0.22%3.76B
0.95%3.76B
1.29%3.76B
1.34%3.76B
1.25%3.75B
0.56%3.72B
0.12%3.71B
0.23%3.71B
9.52%3.71B
7.47%3.70B
4.52%3.71B
9.71%3.70B
-1.31%3.38B
26.63%3.45B
30.62%3.55B
--3.37B
27.46%3.43B
1.30%2.72B
--2.71B
--2.69B
--2.69B
--2.69B
Abzüglich: Eigene Aktien
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
19.74%1.03B
37.91%1.03B
30.33%951.27M
54.06%950.41M
67.68%857.05M
103.71%744.17M
143.05%729.90M
105.42%616.91M
70.20%511.12M
34.75%365.32M
186.42%300.31M
--300.31M
--300.31M
--271.11M
--104.85M
----
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
23.70%-289.56M
30.05%-316.79M
34.02%-304.98M
18.94%-350.89M
-7.57%-379.51M
-84.65%-452.87M
-69.84%-462.21M
-33.61%-432.90M
-27.08%-352.81M
33.65%-245.26M
38.49%-272.14M
34.39%-324.00M
38.67%-277.63M
21.46%-369.63M
14.95%-442.42M
3.94%-493.82M
7.89%-452.65M
53.03%-470.62M
44.78%-520.20M
51.74%-514.07M
64.69%-491.43M
28.73%-1.00B
12.29%-941.99M
6.42%-1.07B
-31.19%-1.39B
-32.55%-1.41B
3.48%-1.07B
-5.42%-1.14B
-3.36%-1.06B
-26.36%-1.06B
-20.22%-1.11B
-26.69%-1.08B
-12.17%-1.03B
11.31%-839.32M
12.02%-925.56M
13.40%-852.36M
---914.99M
-2.54%-946.40M
-10.43%-1.05B
---984.23M
---922.95M
---952.68M
---692.63M
Nicht beherrschende Anteile
-90.29%124.00K
177.11%822.00K
181.81%823.00K
189.82%847.00K
258.24%1.28M
-3.70%-1.07M
-8.06%-1.01M
-5.84%-943.00K
-12.71%-807.00K
-35.26%-1.03M
-97.66%-931.00K
-197.99%-891.00K
-229.95%-716.00K
-1900.00%-760.00K
-209.79%-471.00K
97.44%-299.00K
98.08%-217.00K
99.66%-38.00K
103.84%429.00K
-7.08%-11.68M
-474.25%-11.33M
-726.87%-11.17M
-2058.22%-11.16M
-1670.13%-10.90M
-244.86%-1.97M
-121.02%-1.35M
-112.13%-517.00K
-161.48%-616.00K
-59.00%1.36M
-27.32%6.43M
-83.50%4.26M
-97.76%1.00M
-94.48%3.32M
-83.53%8.84M
-53.91%25.84M
-10.57%44.77M
--60.18M
-5.13%53.69M
-31.98%56.06M
--50.06M
--56.59M
--82.41M
--86.61M
Gesamtes Eigenkapital
8.43%1.14B
15.65%1.05B
24.02%1.19B
24.84%1.12B
14.78%1.05B
-2.70%907.43M
0.99%958.54M
-7.08%896.72M
-5.70%917.21M
13.41%932.61M
22.35%949.14M
10.89%965.04M
-4.33%972.60M
-21.43%822.33M
-32.03%775.75M
-29.23%870.26M
-55.30%1.02B
-44.78%1.05B
-49.63%1.14B
-32.67%1.23B
-0.78%2.27B
-26.59%1.90B
-19.56%2.27B
-35.76%1.83B
-26.52%2.29B
10.25%2.58B
36.37%2.82B
43.26%2.84B
46.59%3.12B
5.03%2.34B
3.20%2.07B
4.49%1.98B
24.80%2.13B
44.20%2.23B
95.97%2.00B
170.69%1.90B
--1.71B
396.49%1.55B
150.81%1.02B
--701.59M
--311.42M
--407.17M
--822.65M
Währungseinheit
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Häufig gestellte Fragen

Welche Kennzahlen der Bilanz sind bei der Analyse von LAUR-Aktien am relevantesten?

Zu den wichtigsten Kennzahlen zählen Barmittel und kurzfristige Anlagen, Gesamtvermögen, Umlaufvermögen, Gesamtverbindlichkeiten, kurzfristige Verbindlichkeiten, langfristige Schulden, Eigenkapital, Gewinnrücklagen, Vorräte, Forderungen, Working Capital, Current Ratio, Quick Ratio, der Verschuldungsgrad (Debt-to-Equity Ratio) sowie die Eigenkapitalrendite (ROE). Anleger betrachten diese Kennzahlen in der Regel im Zusammenhang und verlassen sich nicht auf eine einzelne Kennzahl.

Was ist der Unterschied zwischen Vermögenswerten, Verbindlichkeiten und Eigenkapital der Aktionäre?

Vermögenswerte sind Ressourcen, die das Unternehmen besitzt oder kontrolliert, wie Bargeld, Forderungen, Vorräte, Investitionen und Immobilien. Verbindlichkeiten sind Verpflichtungen, die das Unternehmen hat, wie Verbindlichkeiten aus Lieferungen und Leistungen, Schulden, Leasingverträge und Steuern. Eigenkapital der Aktionäre ist der Restwert, nachdem die Verbindlichkeiten von den Vermögenswerten abgezogen wurden.

Was ist der Unterschied zwischen kurzfristigen und langfristigen Posten?

Kurzfristige Vermögenswerte und kurzfristige Verbindlichkeiten werden im Allgemeinen innerhalb eines Jahres oder eines Betriebszyklus umgewandelt, verwendet, bezahlt oder abgewickelt. Langfristige Vermögenswerte und langfristige Verbindlichkeiten sind langfristige Posten wie Immobilien, langfristige Investitionen, aktive latente Steuervorteile, langfristige Schulden und Leasingverpflichtungen.

Wie viel Barmittel verfügt Laureate Education Inc?

Im jüngsten Quartalsbericht wies Laureate Education Inc 161.67M an Barmitteln und Zahlungsmitteläquivalenten aus.

Wie hoch sind die gesamten Verbindlichkeiten von Laureate Education Inc?

Laureate Education Inc meldete 1.02B in Gesamtverbindlichkeiten zum letzten ausgewiesenen Quartal, einschließlich 472.91M in kurzfristigen Verbindlichkeiten und 544.68M in langfristigen Verbindlichkeiten.

Wie hoch sind die gesamten Vermögenswerte von Laureate Education Inc?

Zum letzten ausgewiesenen Quartal hatte Laureate Education Inc insgesamt 2.21B an Vermögenswerten, darunter 318.35M in kurzfristigen Vermögenswerten und 1.89B in langfristigen Vermögenswerten.

Wie hoch ist das Eigenkapital von Laureate Education Inc?

Laureate Education Inc meldete 1.19B an Gesamt-Eigenkapital zum letzten ausgewiesenen Quartal.
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