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Ameris Bancorp

ABCB

65.985USD

+0.075+0.11%
Trading geöffnet ETKurse um 15 Minuten verzögert
4.53BMarktkapitalisierung
12.18KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-0.21%306.81M
-107.95%-26.31M
92.49%537.29M
-45.20%349.69M
-45.72%307.46M
7461.69%331.06M
113.30%279.12M
41.81%638.13M
99.93%566.42M
-100.41%-4.50M
-68.10%130.86M
-40.36%449.99M
-37.52%283.31M
-16.30%1.10B
-53.37%410.17M
-46.87%754.51M
282.54%453.44M
8911.40%1.31B
251.06%879.60M
669.61%1.42B
-43.89%118.53M
-96.75%14.57M
-252.96%-582.28M
-632.06%-249.31M
261.03%211.24M
-41.33%447.90M
409.25%380.67M
-32.53%46.86M
-263.04%-131.18M
191.90%763.46M
-6.98%74.75M
185.98%69.45M
321.14%80.46M
-12.94%261.55M
352.44%80.36M
-58.99%-80.78M
-159.29%-36.38M
201.69%300.44M
136.75%17.76M
-182.71%-50.80M
155.61%61.37M
17.47%99.58M
-528.59%-48.32M
74.16%-17.97M
123.14%24.01M
990.20%84.77M
109.61%11.28M
32.73%-69.55M
42.20%-103.77M
--7.78M
---117.34M
---103.39M
---179.52M
Nettoergebnis aus fortgeführten Aktivitäten
18.33%87.94M
43.14%94.38M
23.84%99.21M
44.94%90.78M
22.99%74.31M
-19.81%65.93M
-13.44%80.11M
-30.46%62.63M
-26.04%60.42M
0.34%82.22M
13.31%92.56M
1.97%90.07M
-34.62%81.70M
-13.09%81.94M
-29.67%81.68M
174.00%88.33M
546.73%124.96M
53.94%94.28M
443.14%116.14M
-17.14%32.24M
-51.58%19.32M
40.68%61.25M
-48.40%21.38M
314.45%38.90M
49.68%39.91M
375.80%43.54M
105.60%41.44M
-59.34%9.39M
26.03%26.66M
-49.66%9.15M
-6.49%20.16M
15.15%23.09M
71.74%21.15M
28.48%18.18M
37.95%21.56M
1432.80%20.05M
26.15%12.32M
33.72%14.15M
33.99%15.63M
-83.91%1.31M
16.93%9.76M
667.78%10.58M
74.67%11.66M
21.74%8.13M
57.99%8.35M
-70.51%1.38M
250.87%6.68M
167.66%6.68M
-1.49%5.29M
--4.67M
--1.90M
--2.50M
--5.37M
Betriebsergebnisse und -verluste
-10.41%10.63M
-4.37%11.67M
-5.06%11.43M
-5.00%11.64M
-2.91%11.87M
-7.39%12.20M
-2.56%12.04M
-3.00%12.25M
-3.26%12.23M
18.70%13.17M
-15.68%12.36M
13.51%12.63M
11.77%12.64M
-29.70%11.10M
3.27%14.66M
-17.47%11.13M
-15.39%11.31M
7.00%15.79M
-1.42%14.20M
31.12%13.48M
69.74%13.36M
134.00%14.75M
162.32%14.40M
127.25%10.28M
145.42%7.87M
95.81%6.30M
71.00%5.49M
36.22%4.52M
-5.00%3.21M
-8.57%3.22M
-5.67%3.21M
2.91%3.32M
-9.78%3.38M
29.77%3.52M
9.56%3.40M
22.14%3.23M
45.76%3.74M
86.66%2.71M
9.40%3.11M
16.08%2.64M
6.87%2.57M
-9.18%1.45M
81.87%2.84M
44.05%2.28M
49.25%2.40M
-11.55%1.60M
-3.52%1.56M
-1.25%1.58M
18.12%1.61M
--1.81M
--1.62M
--1.60M
--1.36M
Abgegrenzte Steuer
-279.35%-2.44M
147.71%3.38M
-345.46%-12.81M
-29.97%-10.01M
77.06%-644.00K
49.31%-7.09M
91.07%-2.88M
-289.19%-7.70M
-143.62%-2.81M
-320.58%-13.98M
-676.51%-32.20M
-70.01%4.07M
-50.19%6.43M
-69.42%6.34M
43.53%5.59M
153.82%13.57M
276.18%12.92M
93.01%20.72M
-52.08%3.89M
-2623.62%-25.21M
-347.49%-7.33M
2958.97%10.74M
228.69%8.12M
125.75%999.00K
21.83%2.96M
-97.38%351.00K
201.71%2.47M
-223.06%-3.88M
519.31%2.43M
1481.11%13.39M
--819.00K
---1.20M
---580.00K
346.22%847.00K
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-105.28%-344.00K
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83.91%6.52M
----
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--3.54M
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Andere nicht monetäre Posten
120.16%2.47M
-1016.67%-39.10M
-334.56%-35.38M
86.15%-3.45M
-182.49%-12.23M
1412.31%4.26M
-48.38%15.08M
-169.20%-24.90M
363.35%14.83M
99.08%-325.00K
200.80%29.22M
174.71%35.98M
92.22%-5.63M
59.34%-35.20M
86.43%-28.99M
47.26%-48.15M
-20.57%-72.35M
-1563.77%-86.58M
-487.02%-213.60M
-428.55%-91.30M
-803.02%-60.01M
166.27%5.92M
-36.03%-36.39M
-517.59%-17.27M
34.50%-6.64M
23.41%-8.93M
-36.23%-26.75M
87.95%-2.80M
-151.16%-10.14M
42.64%-11.65M
-253.93%-19.64M
-1142.79%-23.20M
309.59%19.83M
-61.99%-20.31M
-776.59%-5.55M
123.17%2.23M
-293.81%-9.46M
-191.09%-12.54M
110.62%820.00K
-46.76%-9.60M
-44.42%4.88M
83.23%-4.31M
-126.67%-7.72M
81.63%-6.54M
36.10%8.78M
---25.69M
409.27%28.95M
-642.76%-35.62M
127.66%6.45M
--0.00
---9.36M
---4.80M
---23.34M
Veränderung des Umlaufvermögens
-12.73%183.18M
-149.54%-114.93M
215.72%465.02M
-56.31%239.45M
-51.16%209.90M
292.72%232.01M
1465.39%147.29M
88.47%548.04M
138.24%429.81M
-111.68%-120.39M
-97.25%9.41M
-57.68%290.77M
-55.27%180.41M
-18.76%1.03B
-63.61%342.19M
-50.99%687.01M
261.85%403.30M
1598.66%1.27B
257.57%940.41M
588.45%1.40B
-31.30%111.46M
-121.05%-84.63M
-268.28%-596.81M
-1114.20%-286.97M
203.23%162.24M
-46.07%402.11M
426.19%354.66M
-55.68%28.30M
-563.96%-157.16M
191.20%745.61M
12.30%67.40M
158.93%63.84M
176.85%33.87M
-13.34%256.05M
2009.61%60.02M
-124.78%-108.33M
-203.43%-44.08M
253.72%295.46M
94.42%-3.14M
-105.67%-48.20M
2064.45%42.62M
-18.12%83.53M
-93.11%-56.38M
49.41%-23.43M
101.64%1.97M
2960.71%102.01M
75.30%-29.19M
57.86%-46.32M
31.60%-120.24M
---3.57M
---118.20M
---109.91M
---175.79M
-Änderung bei den Vorauszahlungen
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175.43%11.57M
----
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--4.20M
-Änderung bei anderen kurzfristigen Vermögenswerten
94.92%-9.00K
97.98%-195.00K
100.31%5.00K
76.74%152.00K
-261.22%-177.00K
52.00%-9.66M
-10793.33%-1.63M
128.76%86.00K
96.64%-49.00K
-198.38%-20.13M
34.78%-15.00K
-15050.00%-299.00K
-160.54%-1.46M
186.83%20.46M
85.44%-23.00K
116.67%2.00K
-163.28%-560.00K
-56.49%-23.56M
-313.51%-158.00K
-116.00%-12.00K
9733.33%885.00K
-41.87%-15.05M
-86.83%74.00K
-78.69%75.00K
-72.73%9.00K
-184.55%-10.61M
-26.73%562.00K
353.24%352.00K
125.98%33.00K
-316.65%-3.73M
607.95%767.00K
-127.97%-139.00K
-108.48%-127.00K
-19.65%-895.00K
-106.26%-151.00K
-93.74%497.00K
-18.32%1.50M
-214.37%-748.00K
572.42%2.41M
646.71%7.95M
99.13%1.83M
-86.83%654.00K
-82.46%359.00K
92.75%1.06M
-69.77%921.00K
5217.53%4.96M
-33.02%2.05M
-94.88%552.00K
-57.98%3.05M
---97.00K
--3.06M
--10.78M
--7.25M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
----
-141.48%-11.18M
----
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333.42%26.95M
----
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629.11%6.22M
----
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----
80.53%-1.18M
----
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-203.09%-6.04M
----
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142.85%5.86M
----
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37.22%2.41M
----
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293.95%1.76M
----
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236.39%446.00K
----
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-567.35%-327.00K
----
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-124.62%-49.00K
----
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--199.00K
----
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-0.21%306.81M
-107.95%-26.31M
92.49%537.29M
-45.20%349.69M
-45.72%307.46M
7461.69%331.06M
113.30%279.12M
41.81%638.13M
99.93%566.42M
-100.41%-4.50M
-68.10%130.86M
-40.36%449.99M
-37.52%283.31M
-16.30%1.10B
-53.37%410.17M
-46.87%754.51M
282.54%453.44M
8911.40%1.31B
251.06%879.60M
669.61%1.42B
-43.89%118.53M
-96.75%14.57M
-252.96%-582.28M
-632.06%-249.31M
261.03%211.24M
-41.33%447.90M
409.25%380.67M
-32.53%46.86M
-263.04%-131.18M
191.90%763.46M
-6.98%74.75M
185.98%69.45M
321.14%80.46M
-12.94%261.55M
352.44%80.36M
-58.99%-80.78M
-159.29%-36.38M
201.69%300.44M
136.75%17.76M
-182.71%-50.80M
155.61%61.37M
17.47%99.58M
-528.59%-48.32M
74.16%-17.97M
123.14%24.01M
990.20%84.77M
109.61%11.28M
32.73%-69.55M
42.20%-103.77M
--7.78M
---117.34M
---103.39M
---179.52M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
93.92%-209.00K
-4107.25%-2.77M
170.68%2.14M
-27.74%2.67M
-255.14%-3.44M
-96.95%69.00K
-201.14%-3.02M
16.88%3.69M
8423.08%2.22M
167.89%2.26M
19.26%2.99M
753.83%3.16M
-99.71%26.00K
132.13%844.00K
805.42%2.51M
-114.20%-483.00K
285.97%8.83M
-197.01%-2.63M
104.74%277.00K
933.74%3.40M
271.39%2.29M
263.03%2.71M
-323.72%-5.85M
135.92%329.00K
44.38%-1.33M
24.05%-1.66M
168.30%2.61M
49.48%-916.00K
28.34%-2.40M
-44.36%-2.19M
46.74%-3.83M
16.34%-1.81M
-258.57%-3.35M
81.72%-1.52M
-423.69%-7.18M
85.36%-2.17M
85.66%-934.00K
16.68%-8.29M
90.27%-1.37M
-119.90%-14.80M
23.57%-6.51M
19.59%-9.95M
3.98%-14.09M
76.76%-6.73M
9.17%-8.52M
-554.93%-12.37M
32.32%-14.68M
-106.93%-28.96M
39.57%-9.38M
--2.72M
---21.69M
---14.00M
---15.53M
Investitionsausgaben
-21.82%2.69M
-25.53%4.36M
-36.61%2.41M
-29.16%3.27M
5.49%3.44M
158.78%5.85M
21.96%3.80M
-0.41%4.62M
-8.23%3.26M
-34.62%2.26M
-35.02%3.12M
37.05%4.64M
-74.29%3.55M
-12.50%3.46M
-2.10%4.79M
-40.53%3.39M
286.59%13.81M
-30.14%3.95M
272.68%4.90M
86.11%5.70M
130.45%3.57M
111.56%5.66M
-69.22%1.31M
58.30%3.06M
36.80%1.55M
259.41%2.67M
563.92%4.27M
67.50%1.93M
-7.05%1.13M
-72.72%744.00K
-53.13%643.00K
-63.76%1.15M
-67.00%1.22M
79.53%2.73M
-69.25%1.37M
-11.46%3.18M
23.17%3.69M
-21.30%1.52M
186.76%4.46M
104.43%3.60M
546.34%3.00M
28.84%1.93M
-24.39%1.56M
171.87%1.76M
-68.44%464.00K
-48.42%1.50M
8.43%2.06M
-82.37%647.00K
36.74%1.47M
--2.90M
--1.90M
--3.67M
--1.07M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
93.92%-209.00K
-4107.25%-2.77M
170.68%2.14M
-27.74%2.67M
-255.14%-3.44M
-96.95%69.00K
-201.14%-3.02M
16.88%3.69M
8423.08%2.22M
167.89%2.26M
19.26%2.99M
753.83%3.16M
-99.71%26.00K
132.13%844.00K
805.42%2.51M
-114.20%-483.00K
285.97%8.83M
-197.01%-2.63M
104.74%277.00K
933.74%3.40M
271.39%2.29M
263.03%2.71M
-323.72%-5.85M
135.92%329.00K
44.38%-1.33M
24.05%-1.66M
168.30%2.61M
49.48%-916.00K
28.34%-2.40M
-44.36%-2.19M
46.74%-3.83M
16.34%-1.81M
-258.57%-3.35M
81.72%-1.52M
-423.69%-7.18M
85.36%-2.17M
85.66%-934.00K
16.68%-8.29M
90.27%-1.37M
-119.90%-14.80M
23.57%-6.51M
19.59%-9.95M
3.98%-14.09M
76.76%-6.73M
9.17%-8.52M
-554.93%-12.37M
32.32%-14.68M
-106.93%-28.96M
39.57%-9.38M
--2.72M
---21.69M
---14.00M
---15.53M
Netto-Cashflow aus Geschäftstransaktionen
----
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--0.00
--0.00
100.00%0.00
100.00%0.00
100.00%0.00
--0.00
---766.00K
---13.24M
---126.66M
--0.00
100.00%0.00
-100.00%0.00
--0.00
-100.00%0.00
---2.42M
--2.00K
--0.00
46967.75%244.18M
-100.00%0.00
100.00%0.00
--0.00
---521.00K
--73.44M
---21.42M
100.00%0.00
--0.00
--0.00
100.00%0.00
-100.00%-1.00K
--0.00
-100.00%0.00
---7.21M
567.47%106.28M
--0.00
61213.92%673.84M
----
-38.31%15.92M
--0.00
--1.10M
----
-75.74%25.81M
----
----
----
--106.38M
----
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Netto-Cashflow aus Anlageprodukten
-1109.49%-259.25M
-548.07%-251.72M
545.71%158.68M
-997.99%-84.88M
-207.13%-21.43M
123.11%56.18M
116.42%24.57M
101.74%9.45M
28.69%20.01M
-456.28%-243.12M
-378.10%-149.65M
-1176.46%-543.45M
-86.21%15.55M
-46.82%68.24M
-54.38%53.81M
-55.14%50.48M
47.58%112.73M
43.11%128.32M
52.02%117.97M
1183.20%112.53M
321.43%76.39M
701.03%89.66M
625.25%77.60M
-185.72%-10.39M
32.64%-34.50M
-36285.37%-14.92M
-6130.20%-14.77M
-18.21%12.12M
-410.77%-51.21M
99.21%-41.00K
135.82%245.00K
523.87%14.82M
-199.64%-10.03M
-115.79%-5.20M
-101.34%-684.00K
103.89%2.38M
109.82%10.06M
117.25%32.90M
446.45%51.08M
-699.02%-61.06M
-154.08%-102.50M
-34.93%-190.73M
128.34%9.35M
-72.28%10.19M
40.72%189.54M
-1709.36%-141.35M
-955.58%-32.99M
-60.79%36.77M
221.42%134.69M
--8.78M
---3.13M
--93.79M
--41.91M
Netto-Cashflow aus anderen Investitionstätigkeiten
121.08%74.19M
489.90%202.70M
-133.58%-86.52M
10.99%-412.87M
-87.97%-352.04M
95.29%-51.99M
120.74%257.67M
66.35%-463.85M
9.66%-187.29M
-162.08%-1.10B
-28640.55%-1.24B
-458.07%-1.38B
-316.57%-207.31M
-211.26%-420.95M
101.06%4.35M
81.28%-247.02M
134.32%95.72M
6216.09%378.33M
-78.50%-409.89M
-101.26%-1.32B
-1394.17%-278.93M
-94.98%5.99M
-566.48%-229.63M
-451.59%-655.71M
124.47%21.55M
188.84%119.34M
121.10%49.23M
60.07%-118.88M
-396.09%-88.08M
66.40%-134.33M
-33.26%-233.26M
-121.30%-297.73M
83.03%-17.75M
-26.40%-399.80M
-6.12%-175.04M
63.21%-134.54M
-339.49%-104.64M
-3103.05%-316.30M
-1113.18%-164.94M
-10487.87%-365.70M
-43.59%-23.81M
-279.61%-9.88M
-417.89%-13.60M
-145.60%-3.45M
60.92%-16.58M
105.23%5.50M
-95.95%4.28M
1747.56%7.58M
-126.93%-42.43M
---105.07M
--105.48M
--410.00K
--157.58M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
50.05%-184.85M
-1222.17%-46.26M
-75.45%70.02M
-9.24%-500.41M
-118.32%-370.04M
100.31%4.12M
120.45%285.27M
76.21%-458.09M
17.33%-169.50M
-180.83%-1.35B
-2606.40%-1.40B
-882.35%-1.93B
-202.71%-205.03M
-194.29%-480.22M
119.05%55.66M
83.84%-196.05M
197.46%199.62M
447.95%509.28M
-398.16%-292.20M
-82.01%-1.21B
-1664.58%-204.83M
-12.38%92.94M
212.93%98.00M
-1956.61%-666.42M
92.67%-11.61M
180.25%106.08M
113.66%31.32M
88.47%-32.40M
-547.98%-158.31M
67.24%-132.18M
-35.99%-229.19M
-116.24%-281.10M
75.77%-24.43M
-138.98%-403.48M
-49.82%-168.54M
-149.64%-130.00M
15.82%-100.85M
3.37%-168.83M
-1242.66%-112.50M
1697.45%261.87M
-166.01%-119.80M
-78.90%-174.73M
170.16%9.85M
-80.13%14.57M
78.55%181.48M
-1424.67%-97.67M
-111.31%-14.03M
-32.24%73.31M
-52.73%101.64M
--7.37M
--124.04M
--108.19M
--215.01M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-146.88%-49.94M
90.72%-66.21M
-80.71%-610.36M
134.21%301.66M
-78.94%106.52M
-162.60%-713.65M
-217.08%-337.75M
-5510.97%-881.76M
246.83%505.80M
471.82%1.14B
1710.94%288.49M
-20.32%-15.71M
-2963.96%-344.48M
32.88%-306.61M
96.79%-17.91M
90.52%-13.06M
-109.64%-11.24M
-1418.52%-456.81M
-189.02%-557.07M
-134.72%-137.80M
626.24%116.61M
106.88%34.65M
401.68%625.81M
426.50%396.88M
-107.54%-22.16M
7.50%-503.71M
-271.38%-207.44M
-41.90%75.38M
180.27%293.71M
-531.31%-544.53M
2.82%121.05M
-8.02%129.75M
11505.32%104.80M
141.66%126.25M
567.87%117.72M
598.23%141.06M
-98.51%903.00K
280.76%52.24M
-193.49%-25.16M
-317.78%-28.31M
130.72%60.54M
-185.92%-28.90M
353.86%26.91M
432.85%13.00M
-612.83%-197.06M
330.29%33.64M
162.16%5.93M
59.51%-3.91M
23.32%-27.64M
--7.82M
---9.54M
---9.65M
---36.05M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-112.35%-15.06M
92.03%-55.79M
-83.28%-600.04M
136.48%314.96M
-76.78%121.89M
-160.87%-700.04M
-209.49%-327.39M
-75107.93%-863.39M
264.95%524.96M
489.99%1.15B
27837.57%299.01M
69.90%-1.15M
-13402.21%-318.25M
34.13%-294.87M
99.80%-1.08M
97.01%-3.81M
-101.76%-2.36M
-988.56%-447.67M
-187.23%-546.91M
-130.90%-127.36M
915.68%134.29M
110.10%50.38M
409.99%627.00M
420.43%412.21M
-105.53%-16.46M
7.86%-499.03M
-262.20%-202.27M
-39.91%79.20M
1364.83%297.58M
-517.44%-541.57M
4.97%124.70M
-7.88%131.82M
543.69%20.32M
141.74%129.74M
604.25%118.80M
632.08%143.09M
105.98%3.16M
294.66%53.67M
-183.50%-23.56M
-289.36%-26.89M
68.67%-52.82M
-181.11%-27.57M
361.56%28.21M
476.01%14.20M
-519.75%-168.58M
300.73%33.99M
168.87%6.11M
57.99%-3.78M
23.16%-27.20M
--8.48M
---8.88M
---8.99M
---35.40M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-323.91%-20.75M
96.85%-103.00K
100.00%0.00
62.99%-2.96M
45.97%-4.89M
---3.27M
79.14%-29.00K
-58.28%-7.99M
47.44%-9.06M
100.00%0.00
97.91%-139.00K
---5.05M
-1083.65%-17.23M
-18914.29%-1.33M
-44246.67%-6.65M
100.00%0.00
81.70%-1.46M
99.90%-7.00K
---15.00K
99.84%-17.00K
-697.19%-7.96M
---6.85M
100.00%0.00
-42152.00%-10.56M
-3.96%-998.00K
--0.00
---1.08M
---25.00K
-101.10%-960.00K
--0.00
100.00%0.00
100.00%0.00
15007.14%87.65M
--0.00
-1300.00%-14.00K
-678.75%-623.00K
-100.51%-588.00K
100.00%0.00
---1.00K
51.81%-80.00K
43046.62%114.24M
---42.00K
--0.00
-2666.67%-166.00K
-141.82%-266.00K
--0.00
--0.00
---6.00K
---110.00K
----
----
----
--0.00
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
----
--0.00
----
----
100.00%0.00
--0.00
--0.00
--0.00
---28.00M
----
----
----
----
----
----
----
----
Barausschüttungen
34.90%14.13M
-0.20%10.32M
-0.17%10.32M
-0.41%10.34M
-1.01%10.48M
-0.40%10.34M
-0.45%10.34M
-0.11%10.39M
1.33%10.58M
-0.58%10.38M
-0.78%10.38M
-0.55%10.40M
0.12%10.45M
0.20%10.44M
0.43%10.47M
0.39%10.46M
0.06%10.43M
-0.14%10.42M
120.50%10.42M
118.80%10.41M
119.45%10.43M
119.75%10.44M
15.35%4.73M
24.22%4.76M
27.51%4.75M
27.59%4.75M
10.08%4.10M
3.20%3.83M
6.70%3.73M
6.74%3.72M
130.89%3.72M
113.15%3.71M
100.46%3.49M
116.65%3.49M
0.19%1.61M
8.20%1.74M
8.20%1.74M
20.33%1.61M
20.07%1.61M
20.33%1.61M
462.94%1.61M
282.29%1.34M
282.86%1.34M
282.29%1.34M
-18.29%286.00K
-47.21%350.00K
-47.37%350.00K
-46.73%350.00K
-46.73%350.00K
--663.00K
--665.00K
--657.00K
--657.00K
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
----
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
--0.00
-100.00%0.00
-67.06%476.00K
1339.39%475.00K
-100.00%0.00
-27.30%879.00K
-51.87%1.45M
-97.42%33.00K
2.86%288.00K
--1.21M
328.25%3.00M
-17.46%1.28M
-92.07%280.00K
--0.00
1198.15%701.00K
2182.35%1.55M
--3.53M
-100.00%0.00
-93.36%54.00K
-91.02%68.00K
-100.00%0.00
-97.84%33.00K
154.86%813.00K
75600.00%757.00K
-88.71%62.00K
354.30%1.53M
314.29%319.00K
-99.46%1.00K
6762.50%549.00K
24.81%337.00K
-89.42%77.00K
293.62%185.00K
-79.49%8.00K
-10.89%270.00K
940.00%728.00K
--47.00K
-76.65%39.00K
33.48%303.00K
337.50%70.00K
100.00%0.00
16600.00%167.00K
22600.00%227.00K
700.00%16.00K
---1.00K
--1.00K
--1.00K
--2.00K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--116.00K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-146.88%-49.94M
90.72%-66.21M
-80.71%-610.36M
134.21%301.66M
-78.94%106.52M
-162.60%-713.65M
-217.08%-337.75M
-5510.97%-881.76M
246.83%505.80M
471.82%1.14B
1710.94%288.49M
-20.32%-15.71M
-2963.96%-344.48M
32.88%-306.61M
96.79%-17.91M
90.52%-13.06M
-109.64%-11.24M
-1418.52%-456.81M
-189.02%-557.07M
-134.72%-137.80M
626.24%116.61M
106.88%34.65M
401.68%625.81M
426.50%396.88M
-107.54%-22.16M
7.50%-503.71M
-271.38%-207.44M
-41.90%75.38M
180.27%293.71M
-531.31%-544.53M
2.82%121.05M
-8.02%129.75M
11505.32%104.80M
141.66%126.25M
567.87%117.72M
598.23%141.06M
-98.51%903.00K
280.76%52.24M
-193.49%-25.16M
-317.78%-28.31M
130.72%60.54M
-185.92%-28.90M
353.86%26.91M
432.85%13.00M
-612.83%-197.06M
330.29%33.64M
162.16%5.93M
59.51%-3.91M
23.32%-27.64M
--7.82M
---9.54M
---9.65M
---36.05M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
4.55%1.22B
-12.07%1.36B
3.26%1.36B
-40.06%1.21B
4.40%1.17B
16.12%1.55B
-42.82%1.32B
-46.80%2.02B
-72.49%1.12B
-64.53%1.33B
-30.19%2.31B
37.67%3.80B
91.97%4.06B
399.13%3.75B
358.03%3.30B
323.08%2.76B
240.49%2.12B
56.72%751.79M
113.35%721.46M
-23.90%652.16M
-8.49%621.85M
-23.77%479.69M
-20.38%338.15M
155.92%857.00M
105.51%679.53M
157.98%629.26M
53.15%424.71M
-6.77%334.88M
66.67%330.66M
13.94%243.91M
50.28%277.31M
41.29%359.21M
-49.21%198.38M
3.56%214.07M
-48.05%184.53M
47.41%254.24M
400.49%390.56M
-24.67%206.72M
338.62%355.22M
141.59%172.47M
23.96%78.04M
11.01%274.40M
60.87%80.99M
41.40%71.39M
-21.56%62.95M
331.48%247.19M
-16.27%50.34M
-22.28%50.49M
22.48%80.26M
--57.29M
--60.13M
--64.96M
--65.53M
Änderungen des Cashflows im aktuellen Zeitraum
63.88%72.02M
63.33%-138.78M
-101.34%-3.04M
121.51%150.94M
-95.13%43.95M
-77.65%-378.47M
123.23%226.64M
52.96%-701.72M
439.12%902.72M
-168.23%-213.04M
-317.82%-975.67M
-373.49%-1.49B
-141.48%-266.20M
-77.14%312.22M
1376.71%447.92M
686.97%545.40M
2017.74%641.82M
860.55%1.37B
-78.57%30.33M
113.36%69.30M
-82.92%30.31M
182.79%142.16M
-30.81%141.53M
-677.56%-518.85M
4108.51%177.47M
-42.05%50.27M
712.49%204.55M
209.69%89.83M
-97.38%4.22M
653.00%86.74M
-213.04%-33.40M
-17.49%-81.90M
217.97%160.82M
-108.53%-15.69M
124.64%29.54M
-138.14%-69.71M
-6573.27%-136.33M
276.69%183.84M
-936.71%-119.90M
1803.86%182.75M
-75.02%2.11M
-601.52%-104.05M
-464.48%-11.56M
6765.97%9.60M
128.32%8.43M
-9.67%20.75M
211.84%3.17M
97.02%-144.00K
-5168.85%-29.77M
--22.97M
---2.84M
---4.84M
---565.00K
Endbestand an Zahlungsmitteln
6.70%1.29B
4.55%1.22B
-12.07%1.36B
3.26%1.36B
-40.06%1.21B
4.40%1.17B
16.12%1.55B
-42.82%1.32B
-46.80%2.02B
-72.49%1.12B
-64.53%1.33B
-30.19%2.31B
37.67%3.80B
91.97%4.06B
399.13%3.75B
358.03%3.30B
323.08%2.76B
240.49%2.12B
56.72%751.79M
113.35%721.46M
-23.90%652.16M
-8.49%621.85M
-23.77%479.69M
-20.38%338.15M
155.92%857.00M
105.51%679.53M
157.98%629.26M
53.15%424.71M
-6.77%334.88M
66.67%330.66M
13.94%243.91M
50.28%277.31M
41.29%359.21M
-49.21%198.38M
-9.03%214.07M
-48.05%184.53M
217.23%254.24M
129.26%390.56M
238.98%235.32M
338.62%355.22M
12.26%80.14M
-36.42%170.36M
29.72%69.42M
60.87%80.99M
41.40%71.39M
233.86%267.94M
-6.59%53.52M
-16.27%50.34M
-22.28%50.49M
--80.26M
--57.29M
--60.13M
--64.96M
Freier Cashflow
0.03%304.13M
-109.43%-30.67M
94.27%534.89M
-45.32%346.42M
-46.01%304.02M
4912.13%325.20M
115.53%275.32M
42.25%633.51M
101.30%563.16M
-100.62%-6.76M
-68.49%127.74M
-40.71%445.34M
-36.36%279.76M
-16.31%1.10B
-53.66%405.37M
-46.89%751.12M
282.42%439.63M
14585.88%1.31B
249.88%874.71M
660.45%1.41B
-45.17%114.96M
-98.00%8.91M
-255.04%-583.59M
-661.76%-252.37M
258.48%209.69M
-41.63%445.23M
407.91%376.40M
-34.22%44.92M
-266.98%-132.32M
194.69%762.72M
-6.17%74.11M
181.34%68.29M
297.71%79.24M
-13.41%258.82M
493.92%78.98M
-54.33%-83.96M
-168.66%-40.08M
206.10%298.92M
126.66%13.30M
-175.73%-54.40M
147.91%58.37M
17.27%97.65M
-641.17%-49.88M
71.89%-19.73M
122.37%23.55M
1609.28%83.28M
107.73%9.22M
34.43%-70.19M
41.73%-105.24M
--4.87M
---119.23M
---107.06M
---180.59M
Währungseinheit
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