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Arcosa Inc

ACA

90.960USD

+2.040+2.29%
Handelsschluss 07/23, 16:00ETKurse um 15 Minuten verzögert
4.44BMarktkapitalisierung
56.84KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-4.87%167.90M
78.72%187.30M
387.31%756.80M
-47.60%103.70M
18.30%176.50M
-34.66%104.80M
38.41%155.30M
157.01%197.90M
68.40%149.20M
120.03%160.40M
69.74%112.20M
-23.23%77.00M
8.18%88.60M
-23.90%72.90M
-65.03%66.10M
-32.41%100.30M
-59.19%81.90M
-60.15%95.80M
48.24%189.00M
78.15%148.40M
70.08%200.70M
141.85%240.40M
1125.96%127.50M
685.85%83.30M
1661.19%118.00M
--99.40M
--10.40M
--10.60M
--6.70M
- Barmittel und Barmitteläquivalente
-4.87%167.90M
78.72%187.30M
387.31%756.80M
-47.60%103.70M
18.30%176.50M
-34.66%104.80M
38.41%155.30M
157.01%197.90M
68.40%149.20M
120.03%160.40M
69.74%112.20M
-23.23%77.00M
8.18%88.60M
-23.90%72.90M
-65.03%66.10M
-32.41%100.30M
-59.19%81.90M
-60.15%95.80M
48.24%189.00M
78.15%148.40M
70.08%200.70M
141.85%240.40M
1125.96%127.50M
685.85%83.30M
1661.19%118.00M
--99.40M
--10.40M
--10.60M
--6.70M
Forderungen
16.77%427.60M
-1.93%350.20M
1.75%396.40M
14.57%442.80M
-6.96%366.20M
6.85%357.10M
19.47%389.60M
10.40%386.50M
5.33%393.60M
7.53%334.20M
-10.46%326.10M
11.39%350.10M
29.26%373.70M
19.45%310.80M
56.38%364.20M
44.37%314.30M
21.42%289.10M
30.10%260.20M
9.14%232.90M
-4.81%217.70M
15.47%238.10M
-31.37%200.00M
22.15%213.40M
35.89%228.70M
34.24%206.20M
--291.40M
--174.70M
--168.30M
--153.60M
-Forderungen aus Lieferungen und Leistungen
16.77%427.60M
-1.93%350.20M
1.75%396.40M
14.57%442.80M
-6.96%366.20M
6.85%357.10M
19.47%389.60M
10.40%386.50M
5.33%393.60M
7.53%334.20M
-10.46%326.10M
11.39%350.10M
29.26%373.70M
19.45%310.80M
56.38%364.20M
44.37%314.30M
21.42%289.10M
30.10%260.20M
9.14%232.90M
-4.81%217.70M
15.47%238.10M
-31.37%200.00M
22.15%213.40M
35.89%228.70M
34.24%206.20M
--291.40M
--174.70M
--168.30M
--153.60M
Inventar
-9.65%365.00M
-10.43%359.90M
-0.22%360.40M
14.47%405.90M
23.06%404.00M
27.23%401.80M
9.85%361.20M
19.84%354.60M
-4.23%328.30M
-2.68%315.80M
-4.56%328.80M
-12.74%295.90M
18.49%342.80M
17.23%324.50M
18.83%344.50M
7.99%339.10M
-4.65%289.30M
-2.29%276.80M
-5.29%289.90M
7.90%314.00M
11.75%303.40M
12.20%283.30M
30.42%306.10M
25.05%291.00M
32.96%271.50M
--252.50M
--234.70M
--232.70M
--204.20M
Sonstige kurzfristige Vermögenswerte
8.09%50.80M
17.18%56.60M
1.54%46.10M
6.65%38.50M
12.44%47.00M
4.09%48.30M
11.00%45.40M
14.97%36.10M
14.52%41.80M
-22.28%46.40M
13.30%40.90M
3.63%31.40M
-2.67%36.50M
85.98%59.70M
25.35%36.10M
17.44%30.30M
25.84%37.50M
-4.18%32.10M
5.11%28.80M
29.65%25.80M
34.84%29.80M
39.00%33.50M
-8.67%27.40M
101.01%19.90M
166.27%22.10M
--24.10M
--30.00M
--9.90M
--8.30M
Summe der kurzfristigen Vermögenswerte
1.77%1.01B
4.61%954.00M
63.92%1.56B
1.62%990.90M
8.85%993.70M
6.44%912.00M
3.11%951.50M
11.91%975.10M
8.47%912.90M
11.58%856.80M
13.80%922.80M
11.14%871.30M
20.61%841.60M
15.49%767.90M
9.49%810.90M
11.06%784.00M
-9.61%697.80M
-12.19%664.90M
9.82%740.60M
13.32%705.90M
24.96%772.00M
13.46%757.20M
49.93%674.40M
47.78%622.90M
65.72%617.80M
--667.40M
--449.80M
--421.50M
--372.80M
Langfristige Vermögenswerte
Nettoanlagevermögen
56.45%2.18B
59.69%2.19B
9.51%1.41B
14.16%1.45B
12.01%1.39B
11.31%1.37B
7.45%1.29B
5.02%1.27B
2.15%1.24B
0.88%1.23B
-7.03%1.20B
-1.42%1.21B
32.15%1.22B
33.89%1.22B
41.77%1.29B
35.14%1.23B
1.52%921.40M
9.80%913.30M
9.39%911.20M
8.95%907.20M
10.48%907.60M
3.59%831.80M
46.01%833.00M
42.93%832.70M
39.69%821.50M
--803.00M
--570.50M
--582.60M
--588.10M
-Anlagevermögen
33.80%3.15B
35.39%3.12B
4.75%2.30B
14.04%2.44B
12.93%2.35B
12.77%2.31B
10.40%2.19B
8.91%2.14B
3.67%2.09B
2.97%2.04B
-3.28%1.99B
0.61%1.97B
23.74%2.01B
24.53%1.99B
30.87%2.05B
26.82%1.95B
6.97%1.63B
12.15%1.59B
10.95%1.57B
10.45%1.54B
11.29%1.52B
7.01%1.42B
31.11%1.41B
28.32%1.40B
26.47%1.37B
--1.33B
--1.08B
--1.09B
--1.08B
-Abgegrenzte Abschreibungen
0.98%971.00M
-0.36%929.50M
-2.06%882.60M
13.87%993.90M
14.29%961.60M
14.99%932.90M
14.91%901.20M
15.10%872.80M
6.00%841.40M
6.33%811.30M
3.09%784.30M
4.03%758.30M
12.74%793.80M
11.99%763.00M
15.76%760.80M
14.91%728.90M
15.05%704.10M
15.47%681.30M
13.19%657.20M
12.68%634.30M
12.52%612.00M
12.23%590.00M
14.36%580.60M
11.47%562.90M
10.66%543.90M
--525.70M
--507.70M
--505.00M
--491.50M
Goodwill und andere immaterielle Vermögenswerte
33.96%1.67B
34.73%1.70B
8.40%1.32B
9.68%1.34B
1.82%1.25B
3.85%1.26B
-0.52%1.21B
0.07%1.22B
6.31%1.23B
5.14%1.21B
5.62%1.22B
17.82%1.22B
15.10%1.15B
14.73%1.16B
22.99%1.16B
14.33%1.03B
33.25%1.00B
61.91%1.01B
49.89%939.20M
43.17%904.00M
22.13%752.70M
1.09%621.90M
24.33%626.60M
25.23%631.40M
22.23%616.30M
--615.20M
--504.00M
--504.20M
--504.20M
Sonstige langfristige Vermögenswerte
118.79%68.70M
120.63%69.50M
101.18%68.40M
-3.37%31.50M
-4.85%31.40M
-11.76%31.50M
-7.61%34.00M
-17.88%32.60M
-23.43%33.00M
-15.40%35.70M
-15.21%36.80M
-14.99%39.70M
-1.60%43.10M
-31.49%42.20M
-1.36%43.40M
8.35%46.70M
-76.86%43.80M
-32.75%61.60M
-47.62%44.00M
-49.23%43.10M
117.09%189.30M
5.77%91.60M
-1.98%84.00M
-8.51%84.90M
-8.50%87.20M
--86.60M
--85.70M
--92.80M
--95.30M
Summe der langfristigen Vermögenswerte
46.67%3.92B
48.60%3.96B
10.21%2.80B
11.76%2.82B
6.80%2.67B
7.33%2.67B
3.27%2.54B
2.21%2.52B
3.68%2.50B
2.63%2.48B
-1.31%2.46B
6.93%2.47B
22.71%2.42B
22.12%2.42B
31.46%2.49B
24.37%2.31B
6.41%1.97B
28.25%1.98B
22.73%1.89B
19.71%1.85B
21.29%1.85B
2.69%1.55B
33.05%1.54B
31.32%1.55B
28.41%1.52B
--1.50B
--1.16B
--1.18B
--1.19B
Summe der Vermögenswerte
34.51%4.93B
37.39%4.92B
24.85%4.36B
8.93%3.81B
7.35%3.67B
7.10%3.58B
3.22%3.49B
4.74%3.50B
4.92%3.42B
4.78%3.34B
2.41%3.38B
8.00%3.34B
22.16%3.26B
20.46%3.19B
25.28%3.30B
20.70%3.09B
1.69%2.67B
14.95%2.65B
18.80%2.63B
17.88%2.56B
22.34%2.62B
6.00%2.30B
37.76%2.22B
35.65%2.17B
37.32%2.14B
--2.17B
--1.61B
--1.60B
--1.56B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
80.25%71.20M
190.43%100.20M
-7.86%29.30M
-19.50%32.20M
-10.23%39.50M
-14.81%34.50M
98.75%31.80M
185.71%40.00M
115.69%44.00M
117.74%40.50M
-13.51%16.00M
-35.19%14.00M
-28.67%20.40M
-58.39%18.60M
-66.06%18.50M
-60.29%21.60M
-53.50%28.60M
-36.95%44.70M
--54.50M
--54.40M
--61.50M
--70.90M
--0.00
--0.00
--0.00
----
----
----
----
Rückstellungen
30.01%135.60M
44.77%157.80M
29.52%147.00M
-0.17%117.80M
-4.05%104.30M
-5.30%109.00M
-11.81%113.50M
0.60%118.00M
-19.78%108.70M
-18.43%115.10M
-8.85%128.70M
0.60%117.30M
38.12%135.50M
27.81%141.10M
27.21%141.20M
2.28%116.60M
3.81%98.10M
-3.07%110.40M
-16.85%111.00M
-7.24%114.00M
-40.38%94.50M
-6.26%113.90M
22.36%133.50M
10.72%122.90M
43.18%158.50M
--121.50M
--109.10M
--111.00M
--110.70M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
69.70%11.20M
77.94%12.10M
-39.71%4.10M
-59.01%6.60M
-55.70%6.60M
-53.74%6.80M
-51.08%6.80M
18.38%16.10M
4.93%14.90M
-0.68%14.70M
15.83%13.90M
54.55%13.60M
144.83%14.20M
134.92%14.80M
185.71%12.00M
95.56%8.80M
26.09%5.80M
70.27%6.30M
281.82%4.20M
309.09%4.50M
155.56%4.60M
105.56%3.70M
1000.00%1.10M
1000.00%1.10M
1700.00%1.80M
--1.80M
--100.00K
--100.00K
--100.00K
-Kurzfristige Leasingverpflichtungen
-36.36%4.20M
-23.53%5.20M
-13.24%5.90M
-1.49%6.60M
3.13%6.60M
7.94%6.80M
6.25%6.80M
11.67%6.70M
-4.48%6.40M
--6.30M
--6.40M
--6.00M
--6.70M
----
----
----
----
----
----
----
----
----
--1.10M
--1.10M
--1.80M
----
----
----
----
Andere kurzfristige Verbindlichkeiten
80.25%71.20M
190.43%100.20M
-7.86%29.30M
-19.50%32.20M
-10.23%39.50M
-14.81%34.50M
98.75%31.80M
185.71%40.00M
115.69%44.00M
117.74%40.50M
-13.51%16.00M
-35.19%14.00M
-28.67%20.40M
-58.39%18.60M
-66.06%18.50M
-60.29%21.60M
-53.50%28.60M
-36.95%44.70M
--54.50M
--54.40M
--61.50M
--70.90M
--0.00
--0.00
--0.00
----
----
----
----
Summe der kurzfristigen Verbindlichkeiten
17.27%510.00M
19.67%516.00M
6.71%432.30M
2.04%429.40M
14.33%434.90M
17.27%431.20M
-4.32%405.10M
1.06%420.80M
-5.77%380.40M
1.02%367.70M
8.73%423.40M
17.96%416.40M
29.31%403.70M
17.31%364.00M
24.73%389.40M
23.47%353.00M
11.90%312.20M
9.26%310.30M
39.50%312.20M
40.77%285.90M
13.51%279.00M
35.56%284.00M
31.57%223.80M
11.23%203.10M
47.63%245.80M
--209.50M
--170.10M
--182.60M
--166.50M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
176.72%1.73B
195.51%1.73B
138.90%1.25B
31.10%722.90M
12.90%624.20M
5.84%585.30M
-25.86%525.20M
-22.40%551.40M
-18.10%552.90M
-19.13%553.00M
-6.95%708.40M
7.21%710.60M
154.08%675.10M
487.46%683.80M
187.61%761.30M
151.73%662.80M
-27.07%265.70M
2.56%116.40M
130.37%264.70M
127.57%263.30M
212.97%364.30M
-38.21%113.50M
38200.00%114.90M
38466.67%115.70M
29000.00%116.40M
--183.70M
--300.00K
--300.00K
--400.00K
-Langfristige Verbindlichkeiten
180.93%1.67B
201.46%1.67B
148.28%1.23B
33.66%696.10M
13.85%595.80M
6.21%555.60M
-27.41%495.40M
-23.87%520.80M
-20.22%523.30M
-21.30%523.10M
-8.24%682.50M
6.05%684.10M
162.26%655.90M
564.70%664.70M
197.52%743.80M
158.04%645.10M
-28.54%250.10M
0.00%100.00M
150.00%250.00M
150.00%250.00M
250.00%350.00M
-45.56%100.00M
33233.33%100.00M
33233.33%100.00M
24900.00%100.00M
--183.70M
--300.00K
--300.00K
--400.00K
-Langfristige Leasingverbindlichkeiten
88.38%53.50M
84.18%54.70M
-17.11%24.70M
-12.42%26.80M
-4.05%28.40M
-0.67%29.70M
15.06%29.80M
15.47%30.60M
54.17%29.60M
56.54%29.90M
48.00%25.90M
49.72%26.50M
23.08%19.20M
16.46%19.10M
19.05%17.50M
33.08%17.70M
9.09%15.60M
21.48%16.40M
-1.34%14.70M
-15.29%13.30M
-12.80%14.30M
--13.50M
--14.90M
--15.70M
--16.40M
----
----
----
----
Derivative-Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--8.40M
----
----
----
----
----
----
----
----
Andere langfristige Verbindlichkeiten
-12.04%38.00M
-9.89%39.20M
-18.97%34.60M
-12.44%38.70M
-5.88%43.20M
-7.64%43.50M
-13.39%42.70M
-12.99%44.20M
-12.40%45.90M
-11.13%47.10M
-15.44%49.30M
-17.13%50.80M
-16.43%52.40M
-20.78%53.00M
-15.87%58.30M
2.34%61.30M
18.53%62.70M
50.00%66.90M
57.14%69.30M
40.28%59.90M
408.65%52.90M
23.20%44.60M
123.86%44.10M
379.78%42.70M
19.54%10.40M
--36.20M
--19.70M
--8.90M
--8.70M
Gesamt langfristige Verbindlichkeiten
129.16%1.97B
141.97%1.97B
93.77%1.49B
20.82%963.50M
8.30%859.40M
3.32%814.70M
-16.92%769.20M
-13.77%797.50M
-9.37%793.50M
-9.45%788.50M
-4.63%925.90M
13.25%924.90M
97.85%875.50M
96.04%870.80M
120.06%970.90M
92.07%816.70M
-15.97%442.50M
94.74%444.20M
93.00%441.20M
81.32%425.20M
174.56%526.60M
-18.01%228.10M
521.20%228.60M
893.64%234.50M
792.09%191.80M
--278.20M
--36.80M
--23.60M
--21.50M
Gesamtverbindlichkeiten
91.56%2.48B
99.64%2.49B
63.74%1.92B
14.33%1.39B
10.26%1.29B
7.76%1.25B
-12.97%1.17B
-9.17%1.22B
-8.23%1.17B
-6.37%1.16B
-0.81%1.35B
14.67%1.34B
69.50%1.28B
63.66%1.23B
80.55%1.36B
64.49%1.17B
-6.32%754.70M
47.33%754.50M
66.53%753.40M
62.50%711.10M
84.10%805.60M
5.00%512.10M
118.66%452.40M
112.22%437.60M
132.77%437.60M
--487.70M
--206.90M
--206.20M
--188.00M
Eigenkapital der Aktionäre
Stammkapital
0.81%1.70B
0.81%1.70B
0.04%1.69B
0.05%1.69B
-0.04%1.69B
-0.08%1.68B
-1.00%1.69B
-1.03%1.69B
-0.40%1.69B
-0.50%1.68B
0.90%1.71B
0.85%1.70B
-0.14%1.70B
-0.09%1.69B
-0.15%1.69B
-0.04%1.69B
0.53%1.70B
0.44%1.69B
0.66%1.70B
0.57%1.69B
0.02%1.69B
0.06%1.69B
--1.69B
--1.68B
--1.69B
--1.69B
----
----
----
Gewinnrücklagen
9.73%770.00M
12.63%748.90M
18.54%759.00M
22.64%744.80M
23.36%701.70M
28.98%664.90M
76.25%640.30M
81.99%607.30M
91.32%568.80M
84.44%515.50M
33.22%363.30M
32.68%333.70M
27.49%297.30M
27.22%279.50M
28.81%272.70M
37.51%251.50M
53.42%233.20M
78.76%219.70M
102.97%211.70M
147.16%182.90M
240.04%152.00M
530.26%122.90M
--104.30M
--74.00M
--44.70M
--19.50M
----
----
----
Kapitalrücklagen
0.81%1.70B
0.81%1.70B
0.04%1.69B
0.05%1.69B
-0.04%1.69B
-0.08%1.68B
-1.00%1.69B
-1.03%1.69B
-0.40%1.69B
-0.50%1.68B
0.90%1.71B
0.85%1.70B
-0.14%1.70B
-0.09%1.69B
-0.15%1.69B
-0.04%1.69B
0.53%1.70B
0.44%1.69B
0.66%1.70B
0.57%1.69B
0.02%1.69B
0.06%1.69B
--1.68B
--1.68B
--1.69B
--1.69B
----
----
----
Abzüglich: Eigene Aktien
14.29%1.60M
----
300.00%800.00K
----
180.00%1.40M
----
-99.21%200.00K
----
150.00%500.00K
--0.00
368.52%25.30M
--25.00M
-71.43%200.00K
--0.00
58.82%5.40M
--0.00
-76.67%700.00K
--0.00
6.25%3.40M
--0.00
-74.79%3.00M
-100.00%0.00
--3.20M
--0.00
--11.90M
--3.50M
----
----
----
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-6.63%-17.70M
-9.26%-17.70M
0.60%-16.70M
-4.35%-16.80M
-4.40%-16.60M
-3.18%-16.20M
-6.33%-16.80M
1.23%-16.10M
7.02%-15.90M
18.65%-15.70M
21.78%-15.80M
19.70%-16.30M
18.96%-17.10M
12.67%-19.30M
12.17%-20.20M
14.35%-20.30M
12.08%-21.10M
-12.18%-22.10M
-11.65%-23.00M
-18.50%-23.70M
-31.15%-24.00M
-11.30%-19.70M
-6.19%-20.60M
-3.63%-20.00M
6.15%-18.30M
---17.70M
---19.40M
---19.30M
---19.50M
Gesamtes Eigenkapital
3.40%2.45B
4.13%2.43B
5.13%2.43B
6.05%2.42B
5.82%2.37B
6.76%2.33B
13.98%2.32B
14.09%2.28B
13.43%2.24B
11.83%2.18B
4.66%2.03B
3.93%2.00B
3.47%1.98B
3.23%1.95B
3.15%1.94B
3.86%1.92B
5.25%1.91B
5.69%1.89B
6.57%1.88B
6.62%1.85B
6.50%1.82B
6.29%1.79B
25.84%1.77B
24.33%1.73B
24.25%1.71B
--1.68B
--1.40B
--1.39B
--1.37B
Währungseinheit
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Prüfungsmeinungen
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