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Albertsons Companies Inc

ACI

19.610USD

+0.390+2.03%
Handelsschluss 08/01, 16:00ETKurse um 15 Minuten verzögert
11.05BMarktkapitalisierung
11.53KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
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
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2015Q4
FY2013Q4
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-46.85%166.40M
57.97%334.90M
-1.17%220.10M
4.54%297.20M
28.21%313.10M
-55.57%212.00M
-94.95%222.70M
-91.62%284.30M
-92.40%244.20M
-83.56%477.20M
65.81%4.41B
19.04%3.39B
47.81%3.21B
69.02%2.90B
44.93%2.66B
19.26%2.85B
7.50%2.17B
264.78%1.72B
351.80%1.84B
448.95%2.39B
205.42%2.02B
-49.17%470.70M
-12.15%406.40M
-73.81%435.30M
-46.48%662.10M
38.16%926.10M
-2.26%462.60M
190.44%1.66B
16.32%1.24B
-45.02%670.30M
-41.29%473.30M
-38.51%572.20M
-27.96%1.06B
110.32%1.22B
--806.10M
--930.60M
--1.48B
-48.51%579.70M
--1.13B
--37.00M
- Barmittel und Barmitteläquivalente
-48.13%151.00M
55.59%293.60M
-9.16%202.30M
5.22%280.00M
29.26%291.10M
-58.60%188.70M
-94.95%222.70M
-92.16%266.10M
-92.99%225.20M
-84.29%455.80M
65.81%4.41B
19.04%3.39B
47.81%3.21B
69.02%2.90B
44.93%2.66B
19.26%2.85B
7.50%2.17B
264.78%1.72B
351.80%1.84B
448.95%2.39B
205.42%2.02B
-49.17%470.70M
-12.15%406.40M
-73.81%435.30M
-46.48%662.10M
38.16%926.10M
-2.26%462.60M
190.44%1.66B
16.32%1.24B
-45.02%670.30M
-41.29%473.30M
-38.51%572.20M
-27.96%1.06B
110.32%1.22B
--806.10M
--930.60M
--1.48B
-48.51%579.70M
--1.13B
--37.00M
-Kurzfristige Anlagen
-30.00%15.40M
77.25%41.30M
--17.80M
-5.49%17.20M
15.79%22.00M
8.88%23.30M
----
--18.20M
--19.00M
--21.40M
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Forderungen
12.29%908.90M
15.24%834.80M
12.14%929.00M
26.40%897.60M
18.28%809.40M
5.35%724.40M
17.54%828.40M
8.96%710.10M
21.05%684.30M
22.65%687.60M
16.04%704.80M
19.64%651.70M
-8.63%565.30M
1.76%560.60M
10.54%607.40M
-0.44%544.70M
16.74%618.70M
4.87%550.90M
9.64%549.50M
5.50%547.10M
6.55%530.00M
-10.39%525.30M
-11.59%501.20M
-1.76%518.60M
-9.78%497.40M
-4.73%586.20M
-5.78%566.90M
-13.29%527.90M
-7.96%551.30M
-2.49%615.30M
-2.07%601.70M
-6.06%608.80M
-3.48%599.00M
-2.59%631.00M
--614.40M
--648.10M
--620.60M
2.52%647.80M
--631.90M
----
-Forderungen aus Lieferungen und Leistungen
12.29%908.90M
15.24%834.80M
12.14%929.00M
26.40%897.60M
18.28%809.40M
5.35%724.40M
17.54%828.40M
8.96%710.10M
21.05%684.30M
22.65%687.60M
16.04%704.80M
19.64%651.70M
-8.63%565.30M
1.76%560.60M
10.54%607.40M
-0.44%544.70M
16.74%618.70M
4.87%550.90M
9.64%549.50M
5.50%547.10M
6.55%530.00M
-10.39%525.30M
-11.59%501.20M
-1.76%518.60M
-9.78%497.40M
-4.73%586.20M
-5.78%566.90M
-13.29%527.90M
-7.96%551.30M
-2.49%615.30M
-2.07%601.70M
-6.06%608.80M
-3.48%599.00M
-2.59%631.00M
--614.40M
--648.10M
--620.60M
2.52%647.80M
--631.90M
----
Inventar
5.43%4.98B
0.89%4.99B
-0.75%5.14B
-0.11%5.04B
-2.58%4.72B
3.41%4.95B
2.39%5.18B
6.36%5.05B
5.94%4.84B
6.25%4.78B
8.22%5.05B
13.57%4.75B
7.05%4.57B
4.64%4.50B
0.71%4.67B
-2.06%4.18B
0.01%4.27B
-1.18%4.30B
0.30%4.64B
-1.69%4.27B
-2.59%4.27B
0.45%4.35B
-0.33%4.62B
0.75%4.34B
1.44%4.39B
-2.00%4.33B
-1.80%4.64B
-2.54%4.31B
-2.56%4.32B
-0.96%4.42B
1.25%4.72B
-0.32%4.42B
0.39%4.44B
0.95%4.46B
--4.67B
--4.43B
--4.42B
6.38%4.42B
--4.16B
----
Aktive Rechnungsabgrenzungsposten
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-8.51%338.80M
----
----
----
22.33%370.30M
----
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0.36%302.70M
----
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-4.92%301.60M
----
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24.39%317.20M
----
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-19.35%255.00M
----
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-14.22%316.20M
----
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6.75%368.60M
----
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-4.72%345.30M
----
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-7.76%362.40M
--392.90M
----
Sonstige kurzfristige Vermögenswerte
-0.03%365.30M
72.75%61.50M
-12.83%379.20M
7.97%409.10M
27.23%365.40M
70.33%35.60M
-15.32%435.00M
-20.08%378.90M
-12.06%287.20M
-79.39%20.90M
16.67%513.70M
14.32%474.10M
4.31%326.60M
-0.20%101.40M
4.68%440.30M
10.65%414.70M
1.33%313.10M
-20.50%101.60M
-6.07%420.60M
11.41%374.80M
-14.62%309.00M
47.07%127.80M
0.95%447.80M
-3.28%336.40M
-4.11%361.90M
18.55%86.90M
-33.24%443.60M
8.15%347.80M
14.89%377.40M
-45.18%73.30M
69.82%664.50M
-9.69%321.60M
-6.60%328.50M
31.59%133.70M
--391.30M
--356.10M
--351.70M
-87.26%101.60M
--797.50M
----
Summe der kurzfristigen Vermögenswerte
3.37%6.42B
4.32%6.56B
0.05%6.67B
3.50%6.65B
2.43%6.21B
0.27%6.29B
-37.66%6.66B
-30.69%6.42B
-30.16%6.06B
-25.05%6.27B
27.52%10.69B
15.98%9.26B
17.63%8.68B
19.73%8.37B
12.57%8.38B
5.41%7.99B
3.43%7.38B
21.93%6.99B
24.49%7.44B
34.60%7.58B
20.76%7.13B
-8.30%5.73B
-2.18%5.98B
-17.75%5.63B
-8.97%5.91B
1.65%6.25B
-5.44%6.11B
15.57%6.85B
0.95%6.49B
-9.49%6.15B
-0.22%6.46B
-7.01%5.92B
-6.41%6.43B
11.12%6.79B
--6.48B
--6.37B
--6.87B
-13.95%6.11B
--7.10B
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Langfristige Vermögenswerte
Nettoanlagevermögen
2.29%15.88B
2.65%15.96B
2.51%15.73B
1.22%15.57B
1.90%15.53B
2.06%15.55B
2.68%15.34B
2.94%15.39B
1.73%15.24B
-0.13%15.24B
-1.52%14.94B
-0.76%14.95B
-1.15%14.98B
-1.10%15.26B
2.31%15.17B
1.23%15.06B
1.86%15.15B
2.31%15.43B
-1.52%14.83B
-1.22%14.88B
-0.46%14.88B
52.91%15.08B
48.45%15.06B
46.86%15.06B
41.56%14.94B
-8.44%9.86B
-6.36%10.14B
-9.05%10.26B
-6.92%10.56B
-6.44%10.77B
-5.41%10.83B
-3.22%11.28B
-3.31%11.34B
-2.82%11.51B
--11.45B
--11.65B
--11.73B
-1.48%11.85B
--12.02B
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-Anlagevermögen
----
2.93%27.28B
----
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--26.50B
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39.76%21.77B
----
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--15.57B
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-Abgegrenzte Abschreibungen
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3.33%11.31B
----
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--10.95B
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17.06%6.69B
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--5.71B
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Goodwill und andere immaterielle Vermögenswerte
-3.71%3.48B
-3.20%3.52B
-2.78%3.55B
-2.26%3.58B
-1.57%3.62B
-0.84%3.64B
1.16%3.65B
2.73%3.66B
4.66%3.67B
5.17%3.67B
4.92%3.61B
5.41%3.56B
4.81%3.51B
5.89%3.49B
5.55%3.44B
3.69%3.38B
2.47%3.35B
0.66%3.29B
-1.44%3.26B
-2.98%3.26B
-5.38%3.27B
-18.60%3.27B
-18.87%3.31B
-19.05%3.36B
-18.14%3.45B
-7.12%4.02B
-7.27%4.08B
-3.16%4.15B
-7.33%4.22B
-7.28%4.33B
-7.09%4.40B
-11.30%4.29B
-7.79%4.55B
-6.94%4.67B
--4.73B
--4.83B
--4.94B
-4.75%5.01B
--5.26B
----
Sonstige langfristige Vermögenswerte
-6.81%574.80M
-6.78%594.20M
-8.57%607.00M
-16.98%619.30M
-16.51%616.80M
-28.61%637.40M
-32.04%663.90M
-23.68%746.00M
-29.83%738.80M
-11.83%892.80M
3.52%976.90M
7.17%977.50M
16.68%1.05B
13.83%1.01B
20.05%943.70M
21.50%912.10M
26.97%902.40M
36.02%889.60M
21.56%786.10M
16.64%750.70M
5.07%710.70M
1.00%654.00M
-0.39%646.70M
14.52%643.60M
21.87%676.40M
14.08%647.50M
16.89%649.20M
-33.59%562.00M
-35.56%555.00M
-27.64%567.60M
-29.72%555.40M
-7.83%846.20M
-3.41%861.20M
-1.57%784.40M
--790.30M
--918.10M
--891.60M
-41.80%796.90M
--1.37B
----
Summe der langfristigen Vermögenswerte
0.93%20.05B
1.32%20.20B
0.83%20.00B
-0.10%19.88B
0.57%19.87B
0.18%19.93B
1.56%19.83B
2.11%19.90B
1.10%19.76B
0.71%19.90B
-0.14%19.53B
0.69%19.49B
0.71%19.54B
0.75%19.76B
3.61%19.56B
2.46%19.36B
2.91%19.40B
3.19%19.61B
-0.72%18.88B
-0.93%18.89B
-1.15%18.86B
30.82%19.00B
27.86%19.01B
27.36%19.07B
24.41%19.07B
-7.26%14.53B
-5.79%14.87B
-8.78%14.97B
-8.50%15.33B
-7.65%15.66B
-7.01%15.78B
-5.71%16.41B
-4.58%16.76B
-3.94%16.96B
--16.97B
--17.40B
--17.56B
-5.36%17.66B
--18.66B
----
Summe der Vermögenswerte
1.51%26.47B
2.04%26.76B
0.64%26.67B
0.78%26.53B
1.01%26.08B
0.20%26.22B
-12.31%26.50B
-8.46%26.32B
-8.51%25.82B
-6.95%26.17B
8.16%30.21B
5.16%28.75B
5.37%28.22B
5.73%28.12B
6.14%27.94B
3.30%27.34B
3.06%26.78B
7.53%26.60B
5.31%26.32B
7.17%26.47B
4.03%25.99B
19.05%24.74B
19.11%24.99B
13.21%24.70B
14.49%24.98B
-4.75%20.78B
-5.69%20.98B
-2.32%21.82B
-5.88%21.82B
-8.18%21.81B
-5.13%22.25B
-6.05%22.33B
-5.09%23.18B
-0.06%23.75B
--23.45B
--23.77B
--24.43B
-7.73%23.77B
--25.76B
--586.10M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
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--3.92B
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-Weitere Verbindlichkeiten
-0.52%1.21B
1.14%656.10M
-1.95%1.03B
-11.31%1.04B
-7.88%1.21B
-20.45%648.70M
-13.83%1.05B
-5.60%1.17B
17.66%1.32B
11.35%815.50M
1.36%1.22B
4.38%1.24B
-0.66%1.12B
8.76%732.40M
5.86%1.20B
10.26%1.19B
-4.24%1.13B
-14.17%673.40M
12.86%1.14B
5.69%1.08B
18.89%1.18B
10.01%784.60M
1.80%1.01B
-2.59%1.02B
7.40%990.20M
-1.05%713.20M
-27.12%988.30M
-25.28%1.05B
-31.09%922.00M
-30.11%720.80M
72.64%1.36B
80.07%1.40B
57.62%1.34B
35.34%1.03B
--785.50M
--779.10M
--848.90M
-38.78%762.00M
--1.24B
----
Rückstellungen
6.43%1.27B
6.82%1.74B
5.91%1.35B
4.52%1.35B
4.08%1.20B
-4.22%1.63B
-15.28%1.28B
-13.93%1.29B
-14.83%1.15B
-10.52%1.70B
1.58%1.51B
0.72%1.50B
-1.15%1.35B
4.72%1.90B
16.92%1.48B
16.56%1.49B
4.37%1.37B
25.60%1.81B
15.34%1.27B
15.57%1.28B
33.69%1.31B
5.90%1.44B
7.77%1.10B
6.42%1.11B
3.36%978.50M
4.29%1.36B
5.81%1.02B
2.68%1.04B
2.32%946.70M
-3.59%1.31B
-29.03%964.60M
-28.10%1.01B
-26.99%925.20M
3.86%1.36B
--1.36B
--1.41B
--1.27B
-8.29%1.31B
--1.42B
----
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
907.38%832.10M
-79.80%57.60M
-91.69%61.30M
-79.79%129.10M
-85.61%82.60M
-73.49%285.20M
-63.58%737.80M
-22.66%638.80M
-30.43%574.20M
29.79%1.08B
2370.24%2.03B
290.54%826.00M
285.16%825.40M
290.21%828.80M
-61.39%82.00M
-36.22%211.50M
-2.19%214.30M
-4.07%212.40M
59.34%212.40M
183.18%331.60M
51.10%219.10M
48.79%221.40M
-67.69%133.30M
-73.17%117.10M
-14.40%145.00M
-11.53%148.80M
140.02%412.60M
144.26%436.50M
-44.26%169.40M
-47.19%168.20M
-43.30%171.90M
-51.74%178.70M
-64.22%303.90M
-4.84%318.50M
--303.20M
--370.30M
--849.40M
-46.36%334.70M
--624.00M
----
-Kurzfristige Leasingverpflichtungen
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-16.54%57.00M
----
----
----
-8.69%68.30M
----
----
----
-4.10%74.80M
----
----
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--78.00M
----
----
----
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----
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----
-14.29%83.40M
3.69%101.10M
-11.24%92.40M
-7.14%96.20M
-4.70%97.30M
-1.81%97.50M
-3.52%104.10M
-7.50%103.60M
-10.99%102.10M
-14.62%99.30M
8.12%107.90M
-0.27%112.00M
--114.70M
--116.30M
--99.80M
--112.30M
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----
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Andere kurzfristige Verbindlichkeiten
-0.52%1.21B
1.14%656.10M
-1.95%1.03B
-11.31%1.04B
-7.88%1.21B
-20.45%648.70M
-13.83%1.05B
-5.60%1.17B
17.66%1.32B
11.35%815.50M
1.36%1.22B
4.38%1.24B
-0.66%1.12B
8.76%732.40M
5.86%1.20B
10.26%1.19B
-4.24%1.13B
-14.17%673.40M
12.86%1.14B
5.69%1.08B
18.89%1.18B
10.01%784.60M
1.80%1.01B
-2.59%1.02B
7.40%990.20M
-1.05%713.20M
-27.12%988.30M
-25.28%1.05B
-31.09%922.00M
-30.11%720.80M
72.64%1.36B
80.07%1.40B
57.62%1.34B
35.34%1.03B
--785.50M
--779.10M
--848.90M
-45.18%762.00M
--1.39B
----
Summe der kurzfristigen Verbindlichkeiten
11.35%7.87B
-2.77%7.25B
-8.94%7.16B
-6.32%7.42B
-8.51%7.07B
-11.52%7.46B
-40.96%7.86B
-3.89%7.92B
-2.39%7.72B
0.96%8.43B
78.38%13.31B
16.62%8.24B
18.02%7.91B
22.19%8.35B
13.09%7.46B
5.08%7.07B
-0.68%6.70B
15.72%6.83B
10.47%6.60B
17.42%6.73B
18.12%6.75B
14.59%5.90B
7.79%5.97B
4.67%5.73B
11.41%5.71B
2.45%5.15B
-1.79%5.54B
-2.35%5.47B
-10.38%5.13B
-12.39%5.03B
5.83%5.64B
4.44%5.61B
-2.12%5.72B
10.77%5.74B
--5.33B
--5.37B
--5.85B
-16.43%5.18B
--6.20B
----
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
----
2.47%922.10M
----
----
----
2.42%899.90M
----
----
----
4.87%878.60M
----
----
----
0.01%837.80M
----
----
----
-0.10%837.70M
----
----
----
-0.12%838.50M
----
----
----
-8.92%839.50M
----
----
----
-5.14%921.70M
----
----
----
-4.00%971.60M
--976.40M
--997.20M
--1.01B
-10.73%1.01B
--1.13B
----
Langfristige Schulden und Leasingverbindlichkeiten
-4.66%12.76B
1.28%13.05B
1.14%13.46B
0.30%13.39B
0.72%13.39B
0.83%12.88B
10.86%13.31B
6.33%13.35B
5.31%13.29B
6.00%12.78B
-6.26%12.01B
-3.10%12.56B
-2.60%12.62B
-8.10%12.05B
-1.89%12.81B
-1.90%12.96B
-2.08%12.96B
-1.46%13.12B
-2.89%13.06B
-1.63%13.21B
-5.01%13.23B
36.23%13.31B
36.11%13.45B
26.54%13.43B
27.38%13.93B
-16.53%9.77B
-9.61%9.88B
-3.17%10.61B
-0.14%10.93B
4.72%11.71B
-1.51%10.93B
-2.35%10.96B
-1.65%10.95B
-5.98%11.18B
--11.10B
--11.23B
--11.13B
-0.45%11.89B
--11.95B
--120.20M
-Langfristige Verbindlichkeiten
-9.89%7.01B
0.00%7.39B
-0.26%7.78B
-0.40%7.78B
-0.64%7.77B
-0.01%7.39B
18.65%7.80B
9.91%7.81B
9.88%7.83B
11.41%7.39B
-9.99%6.57B
-5.20%7.11B
-4.94%7.12B
-12.35%6.63B
-5.19%7.30B
-4.22%7.50B
-4.35%7.49B
-4.30%7.57B
-3.92%7.70B
-2.09%7.83B
-13.27%7.83B
-19.06%7.91B
-18.87%8.01B
-24.68%7.99B
-17.42%9.03B
-16.53%9.77B
-9.61%9.88B
-3.17%10.61B
-0.14%10.93B
4.72%11.71B
-1.51%10.93B
-2.35%10.96B
-1.65%10.95B
-5.98%11.18B
--11.10B
--11.23B
--11.13B
-0.45%11.89B
--11.95B
--120.20M
-Langfristige Leasingverbindlichkeiten
2.60%5.76B
2.99%5.66B
3.11%5.69B
1.30%5.62B
2.68%5.61B
1.99%5.49B
1.45%5.51B
1.66%5.54B
-0.61%5.46B
-0.62%5.39B
-1.32%5.44B
-0.22%5.45B
0.60%5.50B
-2.31%5.42B
2.85%5.51B
1.47%5.46B
1.23%5.46B
2.69%5.55B
-1.38%5.36B
-0.96%5.38B
10.21%5.40B
--5.40B
--5.43B
--5.44B
--4.90B
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--864.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Mitarbeitervorteile
----
2.47%922.10M
----
----
----
2.42%899.90M
----
----
----
4.87%878.60M
----
----
----
0.01%837.80M
----
----
----
-0.10%837.70M
----
----
----
-0.12%838.50M
----
----
----
-8.92%839.50M
----
----
----
-5.14%921.70M
----
----
----
-4.00%971.60M
--976.40M
--997.20M
--1.01B
-10.73%1.01B
--1.13B
----
Andere langfristige Verbindlichkeiten
-6.45%1.83B
-2.94%1.88B
-2.66%1.95B
-1.66%1.96B
-1.56%1.96B
-3.82%1.93B
-3.72%2.01B
-4.58%2.00B
-8.61%1.99B
-5.06%2.01B
-15.18%2.08B
-17.08%2.09B
-17.41%2.18B
-20.46%2.12B
-1.67%2.46B
13.07%2.52B
31.82%2.64B
30.19%2.66B
34.95%2.50B
19.43%2.23B
6.86%2.00B
-35.64%2.04B
-35.96%1.85B
-40.55%1.87B
-38.60%1.87B
2.49%3.17B
-10.57%2.89B
3.61%3.14B
-1.30%3.05B
-1.49%3.10B
-8.89%3.23B
-16.30%3.03B
-16.61%3.09B
-11.93%3.14B
--3.55B
--3.63B
--3.70B
-2.36%3.57B
--3.66B
----
Gesamt langfristige Verbindlichkeiten
-4.47%15.38B
0.64%16.12B
0.20%16.14B
-0.60%16.09B
0.02%16.10B
-0.42%16.02B
3.90%16.11B
4.33%16.18B
3.16%16.09B
3.95%16.08B
-6.39%15.51B
-7.21%15.51B
-7.02%15.60B
-8.14%15.47B
-1.09%16.57B
0.45%16.72B
2.05%16.78B
1.75%16.84B
0.84%16.75B
0.11%16.64B
-4.46%16.44B
16.79%16.55B
18.20%16.61B
10.97%16.62B
12.50%17.21B
-7.87%14.17B
-10.96%14.05B
-7.14%14.98B
-5.99%15.30B
-7.56%15.38B
-6.69%15.78B
-6.16%16.13B
-4.98%16.27B
-1.95%16.64B
--16.91B
--17.19B
--17.13B
-2.40%16.97B
--17.39B
----
Gesamtverbindlichkeiten
0.35%23.25B
-0.44%23.37B
-2.79%23.30B
-2.48%23.51B
-2.74%23.16B
-4.24%23.47B
-16.82%23.97B
1.48%24.11B
1.29%23.82B
2.90%24.51B
19.94%28.82B
-0.13%23.75B
0.13%23.51B
0.61%23.82B
2.92%24.03B
1.78%23.79B
1.25%23.48B
5.42%23.67B
3.39%23.35B
4.54%23.37B
1.16%23.19B
16.20%22.46B
15.26%22.58B
9.28%22.35B
12.23%22.93B
-5.33%19.33B
-8.55%19.59B
-5.91%20.45B
-7.13%20.43B
-8.80%20.41B
-3.69%21.42B
-3.64%21.74B
-4.25%22.00B
1.02%22.38B
--22.24B
--22.56B
--22.97B
-6.09%22.16B
--23.59B
--833.30M
Eigenkapital der Aktionäre
Stammkapital
2.90%2.19B
2.55%2.19B
2.84%2.18B
3.00%2.16B
2.80%2.13B
2.74%2.14B
1.55%2.12B
3.31%2.10B
3.50%2.07B
1.99%2.08B
6.71%2.08B
4.45%2.03B
4.54%2.00B
7.00%2.04B
3.30%1.95B
3.21%1.94B
4.02%1.92B
4.08%1.90B
3.47%1.89B
3.30%1.88B
1.49%1.84B
0.72%1.83B
1.94%1.83B
2.12%1.82B
2.29%1.82B
2.30%1.82B
2.09%1.79B
1.91%1.78B
-10.84%1.78B
-11.16%1.78B
-11.38%1.75B
-10.78%1.75B
1.41%1.99B
1.60%2.00B
--1.98B
--1.96B
--1.96B
6.45%1.97B
--1.85B
----
Gewinnrücklagen
64.01%1.64B
79.65%1.49B
116.74%1.40B
201.23%1.07B
525.56%998.40M
547.68%828.20M
255.25%647.70M
-89.00%356.40M
-94.63%159.60M
-107.21%-185.00M
-119.08%-417.20M
75.49%3.24B
82.92%2.97B
103.08%2.56B
47.64%2.19B
28.91%1.85B
38.33%1.62B
113.24%1.26B
182.44%1.48B
204.92%1.43B
571.58%1.17B
237.17%592.30M
192.39%524.50M
176.59%469.70M
130.11%174.90M
24.11%-431.80M
40.70%-567.70M
47.82%-613.30M
29.18%-580.90M
7.52%-569.00M
-47.30%-957.30M
-91.53%-1.18B
-118.37%-820.20M
-154.26%-615.30M
---649.90M
---613.70M
---375.60M
-193.01%-242.00M
--260.20M
----
Kapitalrücklagen
2.91%2.19B
2.55%2.18B
2.84%2.17B
3.00%2.15B
2.80%2.13B
2.75%2.13B
1.55%2.11B
3.32%2.09B
3.51%2.07B
1.99%2.07B
6.73%2.08B
4.46%2.02B
4.56%2.00B
7.02%2.03B
3.31%1.95B
3.21%1.94B
4.03%1.91B
3.92%1.90B
3.31%1.88B
3.14%1.88B
1.32%1.84B
0.72%1.83B
1.95%1.82B
2.12%1.82B
2.30%1.81B
2.31%1.81B
--1.79B
--1.78B
--1.77B
--1.77B
----
----
----
----
----
----
----
----
----
----
Abzüglich: Eigene Aktien
130.60%701.50M
27.12%386.70M
0.00%304.20M
0.00%304.20M
0.00%304.20M
-13.63%304.20M
-66.67%304.20M
-67.89%304.20M
-68.70%304.20M
-78.62%352.20M
-52.13%912.80M
-50.32%947.40M
-49.04%971.80M
-13.61%1.65B
0.87%1.91B
11.80%1.91B
11.80%1.91B
7291.47%1.91B
7227.52%1.89B
6511.63%1.71B
6511.63%1.71B
0.00%25.80M
0.00%25.80M
--25.80M
--25.80M
--25.80M
--25.80M
----
----
----
----
----
----
----
----
----
----
----
----
----
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
8.77%94.30M
7.61%94.70M
32.31%90.90M
34.40%92.60M
23.15%86.70M
26.98%88.00M
3.93%68.70M
4.24%68.90M
6.34%70.40M
0.43%69.30M
-15.90%66.10M
-16.01%66.10M
4.09%66.20M
8.66%69.00M
174.22%78.60M
173.97%78.70M
154.45%63.60M
153.59%63.50M
-223.71%-105.90M
-232.83%-106.40M
-230.65%-116.80M
-229.79%-118.50M
-55.44%85.60M
-58.32%80.10M
-54.62%89.40M
-52.22%91.30M
624.91%192.10M
802.35%192.20M
1204.64%197.00M
1592.97%191.10M
121.67%26.50M
116.03%21.30M
111.23%15.10M
88.64%-12.80M
---122.30M
---132.90M
---134.50M
-289.09%-112.70M
--59.60M
----
Gesamtes Eigenkapital
10.68%3.22B
23.24%3.39B
33.17%3.37B
36.26%3.02B
45.66%2.91B
65.87%2.75B
80.74%2.53B
-55.66%2.22B
-57.50%2.00B
-61.51%1.66B
-64.24%1.40B
40.47%5.00B
42.71%4.71B
47.20%4.30B
31.47%3.91B
14.78%3.56B
18.02%3.30B
28.33%2.92B
23.36%2.97B
32.20%3.10B
36.00%2.79B
57.03%2.28B
73.41%2.41B
72.13%2.35B
47.66%2.05B
3.75%1.45B
68.68%1.39B
128.55%1.36B
17.32%1.39B
1.97%1.40B
-31.79%824.10M
-50.94%596.20M
-18.39%1.19B
-15.00%1.37B
--1.21B
--1.22B
--1.45B
-25.61%1.61B
--2.17B
---247.20M
Währungseinheit
USD
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Prüfungsmeinungen
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