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AIX Inc

AIFU

7.420USD

+0.020+0.27%
Handelsschluss 07/17, 16:00ETKurse um 15 Minuten verzögert
420.01MMarktkapitalisierung
1.50KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2024H2
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FY2021Q1
FY2020Q4
FY2020Q3
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FY2019Q1
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FY2018Q3
FY2018Q2
FY2018Q1
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FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
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FY2014Q3
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FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
--109.93M
--32.93M
-64.30%55.31M
-35.18%12.83M
4.52%52.38M
78.48%-18.74M
127.43%154.92M
11.77%19.79M
225.07%50.12M
-208.23%-87.07M
-32.21%68.12M
-86.09%17.70M
-200.17%-40.07M
-40.21%80.45M
-19.43%100.48M
-0.67%127.25M
132.98%40.01M
187.45%134.56M
-35.03%124.71M
-58.09%128.11M
-2695.90%-121.31M
53.21%46.81M
220.72%191.96M
1290.39%305.66M
-103.99%-4.34M
235.94%30.55M
-47.28%59.85M
-186.76%-25.68M
239.61%108.86M
-59.95%9.10M
-34.54%113.52M
-47.44%29.60M
-241.16%-77.97M
722.45%22.71M
136.10%173.40M
1.56%56.31M
-33.97%55.24M
-107.43%-3.65M
-24.20%73.44M
20.91%55.45M
62.16%83.66M
684.49%49.10M
333.75%96.90M
-25.44%45.86M
-28.18%51.59M
-494.74%-8.40M
--22.34M
--61.51M
--71.84M
--2.13M
Nettoergebnis aus fortgeführten Aktivitäten
--307.24M
--2.23M
-123.03%-15.08M
384.22%160.77M
188.97%82.93M
245.08%60.48M
254.94%65.51M
-9.69%33.20M
-58.66%28.70M
-130.81%-41.69M
-61.08%18.46M
-54.49%36.77M
-33.98%69.42M
215.99%135.30M
121.30%47.42M
-52.52%80.78M
7.94%105.15M
-71.00%42.82M
---222.69M
--170.16M
-43.65%97.42M
13.95%147.67M
----
----
22.21%172.88M
99.95%129.59M
60.93%131.75M
217.87%113.69M
315.00%141.46M
307.19%64.81M
33.00%81.87M
-27.08%35.77M
-55.01%34.09M
-45.32%15.92M
96.56%61.56M
44.37%49.05M
28.78%75.76M
-30.62%29.11M
18.87%31.32M
19.65%33.98M
157.15%58.83M
87.59%41.95M
42.60%26.34M
39.29%28.40M
-30.76%22.88M
-57.67%22.36M
--18.48M
--20.39M
--33.04M
--52.83M
Betriebsergebnisse und -verluste
--437.61M
----
74.86%34.05M
----
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----
--19.47M
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-58.82%4.16M
-61.68%3.87M
----
----
-19.08%10.10M
-17.60%10.11M
-19.23%9.76M
3.51%12.77M
168.92%12.48M
163.16%12.27M
90.51%12.09M
102.58%12.34M
-36.81%4.64M
-54.20%4.66M
-40.90%6.34M
-49.05%6.09M
-34.82%7.34M
-8.38%10.18M
-3.70%10.74M
9.37%11.95M
-1.95%11.27M
-2.15%11.11M
8.62%11.15M
7.15%10.93M
10.55%11.49M
5.33%11.35M
--10.26M
--10.20M
--10.39M
--10.78M
Abgegrenzte Steuer
--111.50M
----
-47.77%14.54M
----
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----
--27.84M
----
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31.81%4.07M
-76.07%1.73M
----
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--3.09M
--7.22M
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Andere nicht monetäre Posten
---57.92M
--145.76M
3896.21%107.54M
-380.50%-98.25M
0.39%44.56M
-15.04%30.29M
-85.11%2.69M
237.12%35.03M
855.26%44.39M
2736.52%35.66M
128.05%18.07M
-66.65%10.39M
-115.52%-5.88M
-96.20%1.26M
81.91%-64.41M
3526.66%31.15M
57.93%37.87M
106.95%33.06M
---355.98M
--859.00K
1867.27%23.98M
310.51%15.98M
----
----
-1.46%1.22M
-49.25%3.89M
-121.75%-400.00K
78.95%2.82M
458.55%1.24M
1211.45%7.67M
-60.82%1.84M
-31.17%1.58M
-261.97%-345.00K
-272.93%-690.00K
118.53%4.69M
192.22%2.29M
-84.99%213.00K
-76.65%399.00K
-95.57%2.15M
-45.78%784.00K
217.45%1.42M
128.17%1.71M
3564.85%48.49M
110.48%1.45M
-70.14%447.00K
-26.28%749.00K
--1.32M
--687.00K
--1.50M
--1.02M
Veränderung des Umlaufvermögens
--78.37M
---110.93M
-106.71%-2.90M
-0.86%-48.34M
-253.58%-71.86M
29.14%-106.31M
343.46%43.30M
-89.98%-47.93M
77.74%-20.32M
-269.07%-150.03M
-115.54%-17.79M
-177.33%-25.23M
7.32%-91.32M
-179.02%-40.65M
-71.44%114.49M
3185.50%32.63M
60.54%-98.53M
176.33%51.44M
--400.95M
--993.00K
-129.74%-249.68M
-33.91%-67.39M
----
----
-283.19%-108.68M
0.11%-50.33M
-85.57%11.17M
-1417.56%-89.38M
162.28%59.33M
-327.57%-50.38M
-24.12%77.36M
-1.80%6.78M
-4418.79%-95.26M
158.28%22.14M
206.07%101.95M
-56.68%6.91M
-108.71%-2.11M
-456.48%-37.99M
--33.31M
337.29%15.95M
103.32%24.20M
86.43%-6.83M
----
-82.09%3.65M
344.45%11.90M
18.95%-50.31M
---22.40M
--20.37M
---4.87M
---62.07M
-Änderung der Forderungen
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474.32%205.44M
----
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----
--35.77M
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-Änderung bei anderen kurzfristigen Vermögenswerten
----
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-57.50%3.64M
----
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----
--8.57M
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---22.40M
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
----
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89.98%-6.03M
----
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----
---60.20M
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
--109.93M
--32.93M
-64.30%55.31M
-35.18%12.83M
4.52%52.38M
78.48%-18.74M
127.43%154.92M
11.77%19.79M
225.07%50.12M
-208.23%-87.07M
-32.21%68.12M
-86.09%17.70M
-200.17%-40.07M
-40.21%80.45M
-19.43%100.48M
-0.67%127.25M
132.98%40.01M
187.45%134.56M
-35.03%124.71M
-58.09%128.11M
-2695.90%-121.31M
53.21%46.81M
220.72%191.96M
1290.39%305.66M
-103.99%-4.34M
235.94%30.55M
-47.28%59.85M
-186.76%-25.68M
239.61%108.86M
-59.95%9.10M
-34.54%113.52M
-47.44%29.60M
-241.16%-77.97M
722.45%22.71M
136.10%173.40M
1.56%56.31M
-33.97%55.24M
-107.43%-3.65M
-24.20%73.44M
20.91%55.45M
62.16%83.66M
684.49%49.10M
333.75%96.90M
-25.44%45.86M
-28.18%51.59M
-494.74%-8.40M
--22.34M
--61.51M
--71.84M
--2.13M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
--5.33M
----
-86.55%9.95M
----
----
----
--73.95M
----
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----
----
----
----
----
----
----
----
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-26.03%4.16M
10.49%4.40M
----
----
5.76%5.62M
40.65%3.99M
12.77%4.90M
-82.32%7.69M
-76.23%5.32M
76.13%2.83M
61.76%4.34M
2635.58%43.52M
2845.98%22.36M
47.89%1.61M
94.92%2.69M
-2.39%1.59M
-41.79%759.00K
-22.34%1.09M
-15.92%1.38M
1.62%1.63M
-95.21%1.30M
-74.45%1.40M
-59.53%1.64M
16.91%1.60M
566.46%27.20M
57.41%5.48M
--4.05M
--1.37M
--4.08M
--3.48M
Investitionsausgaben
--8.45M
----
-83.28%13.00M
----
----
----
--77.75M
----
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-24.82%4.35M
15.58%4.64M
----
----
8.49%5.79M
39.69%4.01M
14.27%4.96M
-82.24%7.73M
-76.17%5.33M
75.87%2.87M
52.72%4.34M
2531.38%43.52M
2603.38%22.38M
22.23%1.63M
74.97%2.84M
0.98%1.65M
-48.60%828.00K
-7.99%1.34M
-6.07%1.63M
-5.37%1.64M
-94.08%1.61M
-73.59%1.45M
-57.30%1.73M
25.89%1.73M
508.70%27.22M
49.77%5.50M
--4.05M
--1.38M
--4.47M
--3.67M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
--5.33M
----
-86.55%9.95M
----
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--73.95M
----
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-26.03%4.16M
10.49%4.40M
----
----
5.76%5.62M
40.65%3.99M
12.77%4.90M
118.39%7.69M
125.21%5.32M
76.13%2.83M
61.76%4.34M
121.43%3.52M
210.94%2.36M
47.89%1.61M
94.92%2.69M
-2.39%1.59M
-36.00%759.00K
-22.34%1.09M
-15.92%1.38M
1.62%1.63M
-95.64%1.19M
-74.45%1.40M
-59.53%1.64M
16.91%1.60M
566.46%27.20M
57.41%5.48M
--4.05M
--1.37M
--4.08M
--3.48M
Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
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--0.00
-100.00%0.00
----
----
--0.00
--40.00M
--20.00M
----
--0.00
--0.00
----
----
--0.00
--0.00
--118.00K
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Netto-Cashflow aus Geschäftstransaktionen
---37.63M
---12.76M
140.59%8.76M
---11.51M
--0.00
--21.21M
---21.57M
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-934.27%-34.91M
100.00%0.00
-8.84%20.87M
-201.26%-6.52M
--4.18M
-121.89%-4.13M
770.08%22.89M
--6.44M
--0.00
129.65%18.89M
-436.55%-3.42M
----
100.00%0.00
---63.72M
--1.01M
----
---1.53M
-100.00%0.00
100.00%0.00
-100.00%0.00
--0.00
--2.00M
---80.00K
--47.00K
Netto-Cashflow aus Anlageprodukten
---41.87M
--344.81M
131.96%1.55M
20.83%-31.06M
-527.18%-126.16M
-172.01%-153.70M
94.06%-4.85M
-111.81%-39.23M
91.65%-20.12M
-52.84%213.45M
-141.53%-81.65M
166.52%332.21M
-166.40%-241.03M
61.60%452.64M
1711.76%196.59M
-56.10%-499.42M
217.54%362.99M
27.71%280.10M
--10.85M
---319.93M
-61.70%114.31M
200.03%219.32M
----
----
-16.90%298.47M
-239.59%-219.25M
-108.95%-197.97M
1068.89%157.88M
602.26%359.15M
129.23%157.07M
85.51%-94.75M
103.45%13.51M
76.53%-71.51M
-2530.80%-537.40M
-2225.35%-653.88M
-227.68%-391.70M
-3.92%-304.62M
144.57%22.11M
208.68%30.77M
-1295.36%-119.54M
-111.96%-293.14M
47.79%-49.60M
---28.31M
--10.00M
-953.60%-138.30M
-796.99%-95.00M
--0.00
--0.00
--16.20M
--13.63M
Netto-Cashflow aus anderen Investitionstätigkeiten
---81.52M
---602.28M
-136.29%-35.84M
107.67%8.58M
190.01%95.77M
96.84%-1.95M
5781.65%98.75M
-3838.44%-111.89M
-957.05%-106.39M
-2249.06%-61.76M
-102.05%-1.74M
25.86%-2.84M
70.00%-10.06M
104.62%2.87M
1626.03%84.65M
-353.44%-3.83M
---33.55M
---62.19M
---5.55M
--1.51M
----
----
----
----
----
----
--281.45M
---340.00M
-9370.18%-370.00M
---30.00M
-100.00%0.00
-100.00%0.00
-103.38%-3.91M
100.00%0.00
1019.60%93.70M
-82.06%25.46M
30398.68%115.59M
51.71%-37.45M
76.77%-10.19M
241.43%141.89M
101.46%379.00K
-294.31%-77.54M
55.32%-43.87M
-170.75%-100.33M
-139.52%-25.94M
-62.65%39.91M
---98.19M
--141.80M
--65.65M
--106.84M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
---166.35M
---270.24M
-2094.12%-35.48M
77.51%-33.99M
75.97%-30.40M
-188.63%-134.44M
98.06%-1.62M
-145.88%-151.12M
49.62%-126.51M
-66.70%151.68M
-129.65%-83.39M
165.45%329.37M
-176.22%-251.09M
109.04%455.52M
5202.47%281.24M
-58.05%-503.26M
199.06%329.44M
1.39%217.91M
-62.48%5.30M
-121.72%-318.42M
-62.38%110.16M
196.27%214.92M
-67.63%14.14M
872.42%1.47B
6129.44%292.85M
-289.63%-223.23M
146.01%43.67M
-455.80%-189.81M
106.28%4.70M
122.10%117.72M
83.14%-94.91M
90.21%-34.15M
61.24%-74.88M
-3141.87%-532.57M
-3031.78%-562.87M
-711.46%-348.94M
34.07%-193.21M
87.22%-16.43M
125.48%19.20M
53.22%-43.00M
-53.07%-293.05M
-112.19%-128.54M
26.30%-75.35M
-164.55%-91.93M
-346.43%-191.45M
-151.76%-60.58M
---102.24M
--142.43M
--77.69M
--117.04M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
--36.77M
---101.16M
-240.74%-44.61M
---7.11M
41.31%-30.56M
5615066.67%168.46M
162.04%31.70M
100.00%0.00
64.59%-52.07M
100.03%3.00K
84.89%-51.09M
43.44%-51.96M
29.58%-147.05M
---10.20M
-198.55%-338.12M
66.37%-91.86M
52.49%-208.83M
-100.00%0.00
-31.03%-113.25M
80.69%-273.19M
-149.15%-439.58M
10.44%33.92M
42.55%-86.43M
-918712.34%-1.41B
-190.94%-176.44M
700.73%30.72M
-3873.88%-150.45M
100.11%154.00K
363.76%194.02M
419.93%3.84M
-1053.65%-3.79M
-296.94%-138.03M
-6673.64%-73.56M
98.91%-1.20M
--397.00K
-216.13%-34.77M
33.69%1.12M
-4808.01%-110.45M
--0.00
-1322.22%-11.00M
--837.00K
-4.24%2.35M
100.00%0.00
-30.50%900.00K
100.00%0.00
-62.75%2.45M
---78.94M
--1.29M
---15.63M
--6.58M
Netto-Cashflow aus Schuldenemission/Rückzahlung
--36.60M
---65.92M
-217.27%-41.84M
---2.89M
---6.03M
--170.27M
--35.68M
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Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
--92.00K
---5.73M
-314.76%-16.52M
---1.93M
---22.11M
----
---3.98M
----
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100.00%0.00
100.00%0.00
100.00%0.00
----
---154.32M
---247.31M
---82.38M
----
----
-100.00%0.00
--0.00
--0.00
--0.00
--201.09M
----
--0.00
100.00%0.00
----
----
--0.00
---6.28M
----
----
----
----
----
----
----
----
----
----
---9.24M
--0.00
--0.00
--0.00
Barausschüttungen
----
----
--0.00
--0.00
-100.00%0.00
----
-100.00%0.00
-100.00%0.00
-62.67%52.07M
----
-41.81%51.09M
-43.44%51.96M
-33.21%139.47M
----
-22.47%87.80M
-20.17%91.86M
1.01%208.83M
----
--113.25M
--115.08M
11.28%206.74M
-100.00%0.00
----
----
414.33%185.78M
--4.93M
--101.09M
--0.00
--36.12M
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
----
----
-99.88%4.00K
----
----
----
-52.16%3.29M
----
13456.39%54.09M
-79.27%154.00K
686500.00%6.87M
383500.00%3.84M
0.50%399.00K
37050.00%743.00K
-99.91%1.00K
--1.00K
--397.00K
--2.00K
33.69%1.12M
-100.00%0.00
--0.00
--0.00
--837.00K
--2.35M
-100.00%0.00
--0.00
--0.00
-100.00%0.00
--300.00K
--0.00
--0.00
--48.00K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
--77.00K
---29.50M
--13.76M
---2.30M
---2.42M
-60533.33%-1.81M
--0.00
--0.00
100.00%0.00
100.03%3.00K
100.00%0.00
----
---7.58M
---10.20M
---250.31M
100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
---3.79M
138.70%14.46M
226.31%116.31M
----
----
-72.69%6.06M
--35.64M
-2371.83%-103.45M
100.00%0.00
130.16%22.19M
100.00%0.00
---4.18M
-386.93%-138.77M
---73.56M
98.91%-1.20M
--0.00
-159.09%-28.50M
--0.00
---110.45M
--0.00
-1322.22%-11.00M
--0.00
-100.00%0.00
100.00%0.00
-30.50%900.00K
100.00%0.00
-62.48%2.45M
---70.00M
--1.29M
---15.63M
--6.53M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
--36.77M
---101.16M
-240.74%-44.61M
---7.11M
41.31%-30.56M
5615066.67%168.46M
162.04%31.70M
100.00%0.00
64.59%-52.07M
100.03%3.00K
84.89%-51.09M
43.44%-51.96M
29.58%-147.05M
---10.20M
-198.55%-338.12M
66.37%-91.86M
52.49%-208.83M
-100.00%0.00
-31.03%-113.25M
80.69%-273.19M
-149.15%-439.58M
10.44%33.92M
42.55%-86.43M
-918712.34%-1.41B
-190.94%-176.44M
700.73%30.72M
-3873.88%-150.45M
100.11%154.00K
363.76%194.02M
419.93%3.84M
-1053.65%-3.79M
-296.94%-138.03M
-6673.64%-73.56M
98.91%-1.20M
--397.00K
-216.13%-34.77M
33.69%1.12M
-4808.01%-110.45M
--0.00
-1322.22%-11.00M
--837.00K
-4.24%2.35M
100.00%0.00
-30.50%900.00K
100.00%0.00
-62.75%2.45M
---78.94M
--1.29M
---15.63M
--6.58M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
--264.23M
--602.00M
36.77%633.01M
11.67%661.59M
-8.40%660.78M
-1.27%648.21M
-36.08%462.84M
37.99%592.42M
-17.02%721.39M
87.53%656.52M
127.59%724.10M
-45.43%429.33M
38.79%869.34M
31.81%350.10M
26.24%318.16M
12.06%786.74M
-45.02%626.36M
-68.68%265.61M
-66.02%252.03M
85.09%702.06M
322.36%1.14B
93.19%848.17M
51.38%741.61M
-46.51%379.31M
-33.30%269.75M
60.24%439.03M
89.71%489.89M
78.48%709.13M
-32.94%404.44M
-75.82%273.98M
-83.02%258.23M
-78.35%397.31M
-69.41%603.06M
-46.13%1.13B
-24.24%1.52B
-8.62%1.84B
-11.09%1.97B
-8.11%2.10B
-11.55%2.01B
-13.26%2.01B
-9.79%2.22B
-9.38%2.29B
-15.52%2.27B
-6.78%2.32B
4.69%2.46B
13.66%2.53B
--2.69B
--2.48B
--2.35B
--2.22B
Änderungen des Cashflows im aktuellen Zeitraum
---18.49M
---337.77M
-116.72%-31.00M
77.94%-28.58M
100.62%806.00K
-80.62%12.57M
374.32%185.37M
-143.96%-129.59M
70.69%-128.96M
-87.51%64.87M
-311.59%-67.58M
162.91%294.77M
-374.36%-440.01M
43.93%519.24M
135.32%31.94M
-4.12%-468.58M
136.68%160.38M
23.92%360.75M
-87.26%13.57M
-224.21%-450.03M
-499.08%-437.23M
271.98%291.13M
309.50%106.56M
265.26%362.30M
-64.04%109.56M
-229.76%-169.29M
-423.02%-50.86M
-57.63%-219.24M
233.45%304.70M
125.52%130.46M
104.06%15.75M
56.82%-139.08M
-67.62%-228.32M
-289.16%-511.13M
-506.58%-388.06M
-32532.32%-322.08M
34.84%-136.21M
-85.00%-131.34M
403.86%95.45M
97.85%-987.00K
-46.38%-209.02M
-5.51%-70.99M
111.77%18.94M
-122.63%-45.87M
-205.17%-142.79M
-153.42%-67.28M
---160.95M
--202.68M
--135.77M
--125.96M
Auswirkungen von Wechselkursänderungen
--1.17M
--694.00K
-1743.27%-6.23M
-117.32%-302.00K
1949.70%9.38M
-1166.93%-2.71M
131.24%379.00K
608.45%1.74M
71.69%-507.00K
103.89%254.00K
89.60%-1.21M
51.62%-343.00K
-655.70%-1.79M
-178.82%-6.53M
-265.42%-11.67M
-105.26%-709.00K
-101.75%-237.00K
283.07%8.28M
75.63%-3.19M
161.03%13.47M
638.03%13.51M
38.21%-4.52M
-233.25%-13.10M
232.21%5.16M
12.81%-2.51M
-3674.23%-7.32M
-526.82%-3.93M
-211.32%-3.90M
-51.34%-2.88M
-218.03%-194.00K
-8.81%921.00K
-34.07%3.51M
-397.34%-1.90M
92.52%-61.00K
-63.99%1.01M
318.49%5.32M
236.75%640.00K
-113.35%-815.00K
207.76%2.81M
-251.23%-2.43M
84.03%-468.00K
908.61%6.11M
-23.36%-2.60M
72.83%-693.00K
-256.40%-2.93M
-444.75%-755.00K
---2.11M
---2.55M
--1.87M
--219.00K
Endbestand an Zahlungsmitteln
--245.74M
--264.23M
-7.13%602.00M
36.77%633.01M
11.67%661.59M
-8.40%660.78M
-1.27%648.21M
-36.08%462.84M
37.99%592.42M
-17.02%721.39M
87.53%656.52M
127.59%724.10M
-45.43%429.33M
38.79%869.34M
31.81%350.10M
26.24%318.16M
12.06%786.74M
-45.02%626.36M
-68.68%265.61M
-66.02%252.03M
85.09%702.06M
322.36%1.14B
93.19%848.17M
51.38%741.61M
-46.51%379.31M
-33.30%269.75M
60.24%439.03M
89.71%489.89M
89.23%709.13M
-34.95%404.44M
-75.82%273.98M
-82.94%258.23M
-79.58%374.74M
-68.47%621.72M
-46.13%1.13B
-24.62%1.51B
-8.62%1.84B
-11.09%1.97B
-8.11%2.10B
-11.55%2.01B
-13.26%2.01B
-9.79%2.22B
-9.38%2.29B
-15.52%2.27B
-6.78%2.32B
4.69%2.46B
--2.53B
--2.69B
--2.48B
--2.35B
Freier Cashflow
--101.48M
--32.93M
-45.17%42.32M
-35.18%12.83M
4.52%52.38M
78.48%-18.74M
13.29%77.17M
11.77%19.79M
225.07%50.12M
-208.23%-87.07M
-32.21%68.12M
-86.09%17.70M
-200.17%-40.07M
-40.21%80.45M
-19.43%100.48M
-0.67%127.25M
131.84%40.01M
219.06%134.56M
--124.71M
--128.11M
-1141.13%-125.66M
58.90%42.17M
----
----
-109.78%-10.13M
326.51%26.54M
-49.72%54.89M
-139.87%-33.41M
203.16%103.53M
-70.47%6.22M
-35.99%109.17M
-125.48%-13.93M
-284.44%-100.36M
522.83%21.07M
137.49%170.56M
1.58%54.66M
-33.69%54.41M
-110.46%-4.98M
-24.53%71.82M
21.94%53.81M
236.68%82.05M
442.82%47.65M
420.45%95.17M
-26.61%44.13M
-63.82%24.37M
-800.71%-13.90M
--18.29M
--60.13M
--67.36M
---1.54M
Währungseinheit
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