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Amcor PLC

AMCR
48.170USD
+1.385+2.96%
Handelsschluss 02/06, 16:00ETKurse um 15 Minuten verzögert
22.25BMarktkapitalisierung
9.39KGV TTM
Hier können Sie die jährlichen oder vierteljährlichen Kontostände von Amcor PLC 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
Leere Zeilen ausblenden
FY2026Q2
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
FY2018H2
FY2018H1
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
137.53%1.06B
90.97%825.00M
40.65%827.00M
347.48%2.04B
3.49%445.00M
-17.56%432.00M
-14.66%588.00M
-18.97%457.00M
-48.63%430.00M
-6.76%524.00M
-11.10%689.00M
-47.63%564.00M
33.71%837.00M
-11.22%562.00M
-8.82%775.00M
56.09%1.08B
-17.09%626.00M
-16.38%633.00M
14.46%850.00M
28.30%690.00M
12.05%755.00M
57.64%757.00M
23.44%742.60M
--537.80M
--673.80M
--480.20M
--601.60M
--620.80M
8.61%419.90M
-20.92%386.60M
-26.84%515.70M
20.87%488.90M
38.30%704.90M
8.96%404.50M
39.26%509.70M
-0.70%371.23M
0.02%366.00M
26.20%373.83M
--365.93M
--296.22M
- Barmittel und Barmitteläquivalente
137.53%1.06B
90.97%825.00M
40.65%827.00M
347.48%2.04B
3.49%445.00M
-17.56%432.00M
-14.66%588.00M
-18.97%457.00M
-48.63%430.00M
-6.76%524.00M
-11.10%689.00M
-47.63%564.00M
33.71%837.00M
-11.22%562.00M
-8.82%775.00M
56.09%1.08B
-17.09%626.00M
-16.38%633.00M
14.46%850.00M
28.30%690.00M
12.05%755.00M
57.64%757.00M
23.44%742.60M
--537.80M
--673.80M
--480.20M
--601.60M
--620.80M
8.61%419.90M
-20.92%386.60M
-26.84%515.70M
20.87%488.90M
38.30%704.90M
8.96%404.50M
39.26%509.70M
-0.70%371.23M
0.02%366.00M
26.20%373.83M
--365.93M
--296.22M
Forderungen
78.08%3.16B
73.85%3.43B
85.59%3.43B
1.76%1.97B
-2.47%1.77B
5.51%1.97B
-1.55%1.85B
-4.87%1.94B
-7.71%1.82B
-5.75%1.87B
-3.10%1.88B
-2.68%2.03B
4.39%1.97B
2.37%1.98B
3.81%1.94B
17.75%2.09B
12.37%1.89B
15.84%1.94B
15.35%1.86B
2.57%1.77B
0.71%1.68B
-6.51%1.67B
-13.32%1.62B
--1.73B
--1.67B
--1.79B
--1.86B
--1.38B
-0.73%1.38B
-2.61%1.39B
-3.87%1.41B
2.63%1.42B
0.18%1.47B
4.93%1.39B
-17.69%1.47B
-19.84%1.32B
9.82%1.78B
4.18%1.65B
--1.62B
--1.58B
-Forderungen aus Lieferungen und Leistungen
78.08%3.16B
73.85%3.43B
85.59%3.43B
1.76%1.97B
-2.47%1.77B
5.51%1.97B
-1.55%1.85B
-4.87%1.94B
-7.71%1.82B
-5.75%1.87B
-3.10%1.88B
-2.68%2.03B
4.39%1.97B
2.37%1.98B
3.81%1.94B
17.75%2.09B
12.37%1.89B
15.84%1.94B
15.35%1.86B
2.57%1.77B
0.71%1.68B
-6.51%1.67B
-13.32%1.62B
--1.73B
--1.67B
--1.79B
--1.86B
--1.38B
-0.73%1.38B
-2.61%1.39B
-3.87%1.41B
2.63%1.42B
0.18%1.47B
4.93%1.39B
-17.69%1.47B
-19.84%1.32B
9.82%1.78B
4.18%1.65B
--1.62B
--1.58B
Inventar
63.73%3.48B
55.88%3.47B
70.90%3.47B
2.73%2.14B
-1.12%2.13B
4.40%2.23B
-8.22%2.03B
-13.84%2.08B
-14.31%2.15B
-17.61%2.13B
-9.27%2.21B
0.00%2.42B
10.38%2.51B
22.57%2.59B
22.50%2.44B
29.00%2.42B
23.33%2.27B
18.44%2.11B
8.68%1.99B
3.09%1.88B
-2.58%1.84B
-4.82%1.78B
-6.24%1.83B
--1.82B
--1.89B
--1.87B
--1.95B
--1.36B
9.69%1.38B
4.92%1.26B
2.51%1.24B
-3.37%1.20B
-8.66%1.21B
-9.31%1.24B
-21.00%1.33B
-19.79%1.37B
-1.18%1.68B
6.02%1.71B
--1.70B
--1.61B
Aktive Rechnungsabgrenzungsposten
53.67%859.00M
32.40%801.00M
42.00%710.00M
-1.09%546.00M
0.00%559.00M
8.62%605.00M
-5.84%500.00M
-3.16%552.00M
2.57%559.00M
1.46%557.00M
3.71%531.00M
-2.23%570.00M
-9.62%545.00M
-7.73%549.00M
-8.73%512.00M
35.90%583.00M
38.94%603.00M
49.50%595.00M
62.94%561.00M
3.60%429.00M
-4.17%434.00M
-4.81%398.00M
-8.01%344.30M
--414.10M
--452.90M
--418.10M
--374.30M
--261.70M
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Sonstige kurzfristige Vermögenswerte
--0.00
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--0.00
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41.57%12.60M
1.14%8.90M
-33.33%9.00M
-88.48%8.80M
0.00%13.50M
-14.79%76.40M
-51.44%13.50M
-42.21%89.66M
-75.33%27.80M
51.30%155.17M
--112.67M
--102.56M
Summe der kurzfristigen Vermögenswerte
74.48%8.56B
62.83%8.53B
69.87%8.43B
33.27%6.70B
-1.09%4.91B
3.01%5.24B
-6.46%4.96B
-10.00%5.03B
-15.42%4.96B
-13.06%5.08B
-9.31%5.31B
-9.43%5.59B
8.76%5.86B
10.80%5.85B
11.15%5.85B
29.35%6.17B
14.39%5.39B
14.46%5.28B
16.13%5.27B
5.95%4.77B
0.54%4.71B
1.09%4.61B
-12.96%4.53B
--4.50B
--4.69B
--4.56B
--5.21B
--3.62B
5.21%3.20B
-2.66%3.04B
-6.44%3.19B
0.30%3.13B
2.60%3.41B
-1.98%3.12B
-14.51%3.33B
-18.60%3.18B
2.00%3.89B
8.43%3.91B
--3.81B
--3.60B
Langfristige Vermögenswerte
Nettoanlagevermögen
112.67%8.86B
111.76%9.34B
115.20%9.32B
-2.04%4.22B
-4.82%4.17B
3.89%4.41B
0.81%4.33B
0.89%4.31B
3.48%4.38B
2.96%4.25B
2.12%4.29B
-0.84%4.28B
-0.14%4.23B
-2.27%4.13B
-2.03%4.21B
2.69%4.31B
-1.17%4.24B
1.64%4.22B
3.69%4.29B
0.94%4.20B
-0.58%4.29B
-6.44%4.15B
4.15%4.14B
--4.16B
--4.31B
--4.44B
--3.98B
--2.70B
3.58%2.78B
8.03%2.68B
4.84%2.69B
-6.64%2.48B
-12.10%2.57B
-10.78%2.66B
-35.49%2.92B
-37.55%2.98B
-5.23%4.53B
3.67%4.78B
--4.78B
--4.61B
-Anlagevermögen
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--13.86B
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--7.10B
--5.70B
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-Abgegrenzte Abschreibungen
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--4.54B
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--3.13B
--3.00B
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Goodwill und andere immaterielle Vermögenswerte
186.80%18.90B
175.14%18.58B
177.30%18.68B
-3.00%6.59B
-3.96%6.59B
-1.16%6.75B
-2.24%6.74B
-1.38%6.79B
0.06%6.86B
-0.20%6.83B
-0.75%6.89B
-2.85%6.89B
-3.67%6.86B
-4.61%6.85B
-4.30%6.94B
-2.46%7.09B
-3.24%7.12B
-2.13%7.18B
-1.09%7.25B
0.04%7.27B
0.23%7.36B
1.28%7.33B
-1.73%7.33B
--7.26B
--7.34B
--7.24B
--7.46B
--2.38B
8.24%2.43B
18.37%2.25B
13.92%2.10B
1.49%1.90B
-7.56%1.85B
-5.48%1.87B
-6.40%2.00B
-6.49%1.98B
4.24%2.13B
10.26%2.12B
--2.05B
--1.92B
Sonstige langfristige Vermögenswerte
44.44%728.00M
37.08%695.00M
28.80%635.00M
0.19%528.00M
-4.73%504.00M
-2.31%507.00M
-3.33%493.00M
-0.38%527.00M
0.95%529.00M
9.96%519.00M
20.00%510.00M
26.56%529.00M
33.67%524.00M
28.61%472.00M
13.33%425.00M
17.09%418.00M
8.29%392.00M
0.00%367.00M
5.34%375.00M
-7.78%357.00M
-8.82%362.00M
-5.00%367.00M
-14.87%356.00M
--387.10M
--397.00M
--386.30M
--418.20M
--241.00M
0.42%192.50M
0.05%191.70M
-13.85%205.20M
-14.12%191.60M
-32.39%238.20M
-11.65%223.10M
-29.79%352.30M
-34.32%252.50M
21.71%501.80M
-7.71%384.44M
--412.29M
--416.56M
Summe der langfristigen Vermögenswerte
153.00%28.49B
145.19%28.62B
147.70%28.63B
-2.50%11.34B
-4.32%11.26B
0.64%11.67B
-1.16%11.56B
-0.50%11.63B
1.34%11.77B
1.35%11.60B
1.05%11.70B
-1.07%11.69B
-1.15%11.61B
-2.74%11.44B
-2.93%11.57B
-0.04%11.82B
-2.15%11.75B
-0.74%11.77B
0.12%11.92B
-0.81%11.82B
-1.15%12.01B
-2.59%11.85B
-0.40%11.91B
--11.92B
--12.14B
--12.17B
--11.95B
--5.44B
5.02%5.86B
10.45%5.58B
6.91%5.49B
-5.08%5.05B
-11.59%5.13B
-8.02%5.32B
-23.83%5.81B
-25.66%5.79B
-1.97%7.62B
4.14%7.78B
--7.78B
--7.47B
Summe der Vermögenswerte
129.17%37.05B
119.67%37.15B
124.32%37.07B
8.30%18.04B
-3.36%16.16B
1.36%16.91B
-2.82%16.52B
-3.58%16.66B
-4.28%16.73B
-3.52%16.68B
-2.43%17.00B
-3.94%17.28B
1.97%17.48B
1.46%17.29B
1.38%17.43B
8.41%17.99B
2.51%17.14B
3.52%17.04B
4.54%17.19B
1.04%16.59B
-0.68%16.72B
-1.59%16.46B
-4.21%16.44B
--16.42B
--16.83B
--16.73B
--17.16B
--9.06B
5.09%9.06B
5.43%8.62B
1.58%8.68B
-3.09%8.18B
-6.42%8.55B
-5.88%8.44B
-20.68%9.13B
-23.30%8.97B
-0.67%11.52B
5.53%11.69B
--11.59B
--11.08B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
126.32%2.54B
115.73%2.65B
100.76%2.38B
-9.77%1.13B
-10.68%1.12B
-8.71%1.23B
-8.56%1.19B
-4.80%1.25B
4.41%1.25B
6.33%1.34B
-3.50%1.30B
16.73%1.31B
13.61%1.20B
12.26%1.26B
17.38%1.34B
0.36%1.12B
-3.99%1.06B
-1.92%1.13B
10.52%1.15B
10.66%1.12B
17.79%1.10B
-4.52%1.15B
-0.85%1.04B
--1.01B
--935.60M
--1.20B
--1.04B
--767.00M
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Rückstellungen
63.36%477.00M
59.76%532.00M
55.14%619.00M
-6.80%315.00M
-8.46%292.00M
2.46%333.00M
0.76%399.00M
-5.85%338.00M
-7.27%319.00M
-12.87%325.00M
-15.92%396.00M
-12.86%359.00M
-7.28%344.00M
-9.25%373.00M
-9.94%471.00M
-9.85%412.00M
-13.72%371.00M
-4.86%411.00M
9.76%523.00M
19.60%457.00M
36.77%430.00M
25.62%432.00M
25.92%476.50M
--382.10M
--314.40M
--343.90M
--378.40M
--269.30M
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Kurzfristige Rückstellungen
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-5.69%132.70M
45.80%140.70M
87.75%179.30M
-9.13%96.50M
-22.61%95.50M
-28.82%106.20M
-54.86%123.40M
-50.41%149.20M
-10.04%273.40M
3.14%300.88M
--303.92M
--291.72M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
399.04%519.00M
1465.63%2.00B
167.71%257.00M
21.37%159.00M
79.31%104.00M
8.47%128.00M
3.23%96.00M
-37.32%131.00M
-6.45%58.00M
55.26%118.00M
-38.00%93.00M
190.28%209.00M
-48.76%62.00M
11.76%76.00M
45.63%150.00M
-32.71%72.00M
128.30%121.00M
-71.43%68.00M
-50.07%103.00M
-65.79%107.00M
-85.16%53.00M
-25.11%238.00M
-74.02%206.30M
--312.80M
--357.20M
--317.80M
--794.20M
--2.16B
131.92%2.31B
-28.47%998.10M
-9.48%916.70M
100.76%1.40B
94.08%1.01B
-32.08%695.00M
-52.49%521.80M
-34.67%1.02B
17.24%1.10B
109.77%1.57B
--936.83M
--746.63M
-Kurzfristige Verbindlichkeiten
-8.79%83.00M
-22.61%89.00M
38.10%116.00M
26.05%150.00M
97.83%91.00M
7.48%115.00M
5.00%84.00M
-39.29%119.00M
-4.17%46.00M
72.58%107.00M
-41.18%80.00M
243.86%196.00M
-58.26%48.00M
-1.59%62.00M
38.78%136.00M
-39.36%57.00M
187.50%115.00M
-72.00%63.00M
-49.80%98.00M
-69.68%94.00M
-88.67%40.00M
-28.07%225.00M
-75.25%195.20M
--310.00M
--353.00M
--312.80M
--788.80M
--1.17B
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-Kurzfristige Leasingverpflichtungen
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--15.00M
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--1.60M
--1.80M
--1.20M
--1.30M
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Andere kurzfristige Verbindlichkeiten
126.32%2.54B
115.73%2.65B
100.76%2.38B
-9.77%1.13B
-10.68%1.12B
-8.71%1.23B
-8.56%1.19B
-4.80%1.25B
4.41%1.25B
6.33%1.34B
-3.50%1.30B
16.73%1.31B
13.61%1.20B
12.26%1.26B
17.38%1.34B
0.36%1.12B
-3.99%1.06B
-1.92%1.13B
10.52%1.15B
10.66%1.12B
17.79%1.10B
-4.52%1.15B
-0.85%1.04B
--1.01B
--935.60M
--1.20B
--1.04B
--767.00M
-5.69%132.70M
45.80%140.70M
87.75%179.30M
-9.13%96.50M
-22.61%95.50M
-28.82%106.20M
-54.86%123.40M
-50.41%149.20M
-10.04%273.40M
3.14%300.88M
--303.92M
--291.72M
Summe der kurzfristigen Verbindlichkeiten
68.80%6.58B
101.20%8.19B
63.98%6.99B
0.69%3.94B
-1.84%3.90B
1.57%4.07B
-4.80%4.26B
-11.23%3.91B
-9.63%3.97B
-12.73%4.00B
-12.29%4.48B
-0.36%4.41B
2.33%4.39B
14.24%4.59B
17.45%5.10B
20.54%4.42B
16.72%4.29B
10.78%4.02B
9.35%4.34B
0.50%3.67B
-2.37%3.68B
-5.56%3.63B
-12.51%3.97B
--3.65B
--3.77B
--3.84B
--4.54B
--5.06B
46.35%4.98B
-7.15%3.40B
-0.79%3.65B
24.06%3.67B
11.48%3.67B
-13.09%2.96B
-24.38%3.30B
-26.52%3.40B
1.52%4.36B
28.86%4.63B
--4.29B
--3.59B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
61.50%323.00M
58.10%332.00M
62.21%352.00M
-1.98%198.00M
-3.38%200.00M
0.48%210.00M
-3.13%217.00M
1.51%202.00M
3.50%207.00M
8.85%209.00M
11.44%224.00M
-26.30%199.00M
-28.06%200.00M
-34.69%192.00M
-34.53%201.00M
-29.13%270.00M
-30.67%278.00M
-25.38%294.00M
-21.62%307.00M
7.35%381.00M
8.09%401.00M
5.80%394.00M
1.27%391.70M
--354.90M
--371.00M
--372.40M
--386.80M
--286.30M
1.53%465.40M
7.03%458.40M
14.79%541.80M
-5.64%428.30M
7.15%472.00M
4.57%453.90M
-9.16%440.50M
-22.05%434.06M
-8.26%484.90M
16.24%556.85M
--528.53M
--479.04M
Langfristige Schulden und Leasingverbindlichkeiten
112.47%15.50B
79.44%13.74B
107.45%14.71B
20.59%9.09B
-2.81%7.29B
2.89%7.66B
-0.35%7.09B
3.63%7.53B
2.60%7.51B
1.24%7.44B
4.14%7.12B
-4.93%7.27B
4.29%7.32B
5.36%7.35B
2.78%6.83B
10.08%7.65B
1.90%7.01B
2.48%6.97B
2.87%6.65B
4.59%6.95B
8.55%6.88B
14.22%6.81B
21.73%6.46B
--6.64B
--6.34B
--5.96B
--5.31B
--2.69B
-33.08%2.46B
40.36%3.67B
33.27%3.43B
-5.36%2.62B
-14.28%2.57B
0.58%2.77B
1.89%3.00B
0.72%2.75B
-3.81%2.95B
-12.23%2.73B
--3.06B
--3.11B
-Langfristige Verbindlichkeiten
113.82%14.62B
78.65%12.82B
109.00%13.80B
22.44%8.64B
-2.48%6.84B
2.82%7.18B
-0.75%6.60B
3.69%7.05B
2.50%7.01B
1.45%6.98B
4.94%6.65B
-5.20%6.80B
4.46%6.84B
5.44%6.88B
2.49%6.34B
10.47%7.18B
1.80%6.55B
2.56%6.52B
3.16%6.19B
5.19%6.50B
9.94%6.43B
16.67%6.36B
12.96%6.00B
--6.18B
--5.85B
--5.45B
--5.31B
--2.69B
-33.08%2.46B
40.36%3.67B
33.27%3.43B
-5.36%2.62B
-14.28%2.57B
0.58%2.77B
1.89%3.00B
0.72%2.75B
-3.81%2.95B
-12.23%2.73B
--3.06B
--3.11B
-Langfristige Leasingverbindlichkeiten
92.36%881.00M
91.23%916.00M
86.48%910.00M
-6.68%447.00M
-7.47%458.00M
3.90%479.00M
5.40%488.00M
2.79%479.00M
3.99%495.00M
-1.91%461.00M
-6.09%463.00M
-0.85%466.00M
1.93%476.00M
4.21%470.00M
6.71%493.00M
4.44%470.00M
3.32%467.00M
1.35%451.00M
-0.79%462.00M
-3.35%450.00M
-8.00%452.00M
-12.19%445.00M
--465.70M
--465.60M
--491.30M
--506.80M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Mitarbeitervorteile
61.50%323.00M
58.10%332.00M
62.21%352.00M
-1.98%198.00M
-3.38%200.00M
0.48%210.00M
-3.13%217.00M
1.51%202.00M
3.50%207.00M
8.85%209.00M
11.44%224.00M
-26.30%199.00M
-28.06%200.00M
-34.69%192.00M
-34.53%201.00M
-29.13%270.00M
-30.67%278.00M
-25.38%294.00M
-21.62%307.00M
7.35%381.00M
8.09%401.00M
5.80%394.00M
1.27%391.70M
--354.90M
--371.00M
--372.40M
--386.80M
--286.30M
-2.47%347.30M
3.22%356.10M
15.59%446.40M
-3.87%345.00M
23.07%386.20M
17.74%358.90M
-0.73%313.80M
-18.39%304.82M
-11.46%316.10M
34.35%373.52M
--357.03M
--278.02M
Andere langfristige Verbindlichkeiten
73.61%1.09B
71.96%1.07B
74.17%1.11B
0.50%608.00M
2.28%629.00M
-5.45%624.00M
-9.93%635.00M
-6.64%605.00M
-10.61%615.00M
-7.69%660.00M
4.91%705.00M
-5.81%648.00M
7.50%688.00M
8.50%715.00M
-0.88%672.00M
13.16%688.00M
0.95%640.00M
7.15%659.00M
10.26%678.00M
11.48%608.00M
7.28%634.00M
4.72%615.00M
-2.05%614.90M
--545.40M
--591.00M
--587.30M
--627.80M
--469.00M
1.53%465.40M
7.03%458.40M
14.79%541.80M
-5.64%428.30M
7.15%472.00M
1.34%453.90M
-11.26%440.50M
-19.60%447.88M
-8.42%496.40M
12.96%557.06M
--542.04M
--493.15M
Gesamt langfristige Verbindlichkeiten
122.02%18.82B
94.73%17.23B
120.69%18.34B
17.21%10.24B
-2.90%8.48B
1.55%8.85B
-1.51%8.31B
2.07%8.74B
0.68%8.73B
-0.15%8.71B
3.12%8.44B
-4.72%8.56B
4.14%8.67B
4.87%8.73B
1.99%8.18B
9.36%8.99B
1.64%8.33B
2.80%8.32B
3.09%8.02B
3.15%8.22B
6.91%8.19B
9.40%8.10B
11.99%7.78B
--7.97B
--7.66B
--7.40B
--6.95B
--3.31B
-28.69%3.12B
32.91%4.38B
27.56%4.19B
-5.34%3.29B
-11.17%3.29B
-0.23%3.48B
-0.67%3.70B
-0.60%3.49B
-3.06%3.72B
-9.27%3.51B
--3.84B
--3.87B
Gesamtverbindlichkeiten
105.26%25.40B
96.77%25.42B
101.46%25.33B
12.10%14.18B
-2.57%12.37B
1.56%12.92B
-2.65%12.57B
-2.45%12.65B
-2.79%12.70B
-4.48%12.72B
-2.80%12.91B
-3.28%12.97B
3.53%13.06B
7.92%13.32B
7.42%13.29B
12.81%13.41B
6.31%12.62B
5.27%12.34B
5.21%12.37B
2.31%11.89B
3.85%11.87B
4.29%11.72B
2.30%11.76B
--11.62B
--11.43B
--11.24B
--11.49B
--8.36B
4.15%8.10B
11.81%7.78B
12.59%7.84B
8.16%6.96B
-0.50%6.96B
-6.58%6.43B
-13.45%6.99B
-15.34%6.89B
-0.65%8.08B
9.09%8.13B
--8.13B
--7.46B
Eigenkapital der Aktionäre
Stammkapital
201.87%12.25B
203.51%12.27B
203.72%12.25B
1.19%4.07B
1.30%4.06B
1.18%4.04B
-0.05%4.03B
-5.52%4.02B
-9.06%4.01B
-9.71%4.00B
-9.24%4.04B
-10.49%4.26B
-9.51%4.41B
-13.01%4.43B
-12.94%4.45B
-8.70%4.75B
-10.30%4.87B
-7.42%5.09B
-7.07%5.11B
-6.23%5.21B
-6.40%5.43B
-7.72%5.50B
-8.77%5.50B
--5.55B
--5.80B
--5.96B
--6.02B
--784.40M
-1.78%1.44B
-3.25%1.47B
-14.34%1.52B
-27.66%1.51B
-17.30%1.78B
-20.59%2.09B
-22.10%2.15B
-34.78%2.64B
-30.99%2.76B
1.54%4.04B
--3.99B
--3.98B
Gewinnrücklagen
-54.78%393.00M
-42.02%516.00M
-37.66%548.00M
9.85%881.00M
9.31%869.00M
5.83%890.00M
1.62%879.00M
-7.07%802.00M
-8.20%795.00M
43.03%841.00M
61.99%865.00M
42.88%863.00M
68.16%866.00M
24.31%588.00M
18.14%534.00M
59.79%604.00M
75.77%515.00M
83.33%473.00M
83.37%452.00M
48.41%378.00M
15.17%293.00M
2.26%258.00M
-23.85%246.50M
--254.70M
--254.40M
--252.30M
--323.70M
--561.40M
21.64%-538.30M
-84.83%-687.00M
-157.06%-702.30M
-87.25%-371.70M
-170.50%-273.20M
69.40%-198.50M
-117.14%-101.00M
-13.08%-648.60M
14.98%589.10M
-32.68%-573.59M
--512.37M
---432.31M
Kapitalrücklagen
202.35%12.23B
204.00%12.25B
204.21%12.23B
1.20%4.05B
1.30%4.04B
1.18%4.03B
-0.05%4.02B
-5.52%4.01B
-9.06%3.99B
-9.72%3.98B
-9.25%4.02B
-10.53%4.24B
-9.54%4.39B
-13.05%4.41B
-12.98%4.43B
-8.72%4.74B
-10.31%4.85B
-7.43%5.07B
-7.08%5.09B
-6.24%5.19B
-6.42%5.41B
-7.74%5.48B
-8.78%5.48B
--5.54B
--5.78B
--5.94B
--6.01B
--784.40M
----
----
-7.19%54.20M
----
-3.47%58.40M
----
--60.50M
----
----
----
--120.54M
----
Abzüglich: Eigene Aktien
50.00%15.00M
288.89%35.00M
-45.45%6.00M
-36.36%7.00M
-9.09%10.00M
-25.00%9.00M
-8.33%11.00M
-21.43%11.00M
-38.89%11.00M
-75.51%12.00M
-33.33%12.00M
-60.00%14.00M
-51.35%18.00M
-2.00%49.00M
-37.93%18.00M
-12.50%35.00M
-17.78%37.00M
2.04%50.00M
-56.72%29.00M
250.88%40.00M
294.74%45.00M
326.09%49.00M
316.15%67.00M
--11.40M
--11.40M
--11.50M
--16.10M
--10.70M
--7.30M
----
-40.77%21.50M
0.00%500.00K
157.45%36.30M
--500.00K
--14.10M
----
----
----
----
----
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
12.26%-995.00M
-3.08%-1.04B
-4.22%-1.06B
-25.81%-1.09B
-37.12%-1.13B
-8.41%-1.01B
-18.33%-1.02B
-1.28%-868.00M
8.21%-827.00M
11.45%-928.00M
2.05%-862.00M
-6.20%-857.00M
-1.81%-901.00M
-21.58%-1.05B
-14.88%-880.00M
10.23%-807.00M
-0.11%-885.00M
15.41%-862.00M
27.00%-766.00M
15.02%-899.00M
-25.82%-884.00M
-31.74%-1.02B
-45.25%-1.05B
---1.06B
---702.60M
---773.50M
---722.40M
---708.50M
----
----
-3375.00%-13.10M
----
111.76%400.00K
----
---3.40M
----
----
----
---1.14B
----
Nicht beherrschende Anteile
57.14%11.00M
-83.78%12.00M
-83.33%12.00M
-87.50%8.00M
-88.89%7.00M
12.12%74.00M
12.50%72.00M
6.67%64.00M
8.62%63.00M
13.79%66.00M
8.47%64.00M
0.00%60.00M
1.75%58.00M
5.45%58.00M
3.51%59.00M
3.45%60.00M
1.79%57.00M
-3.51%55.00M
-6.86%57.00M
-8.23%58.00M
-11.39%56.00M
-15.18%57.00M
-6.85%61.20M
--63.20M
--63.20M
--67.20M
--65.70M
--68.80M
0.78%64.50M
-16.99%64.00M
-49.01%61.60M
-30.54%77.10M
8.83%120.80M
20.79%111.00M
25.00%111.00M
6.66%91.89M
-1.95%88.80M
20.89%86.16M
--90.56M
--71.27M
Gesamtes Eigenkapital
207.23%11.65B
193.76%11.73B
196.99%11.74B
-3.72%3.86B
-5.86%3.79B
0.73%3.99B
-3.35%3.95B
-6.96%4.01B
-8.71%4.03B
-0.30%3.96B
-1.23%4.09B
-5.88%4.31B
-2.39%4.41B
-15.49%3.98B
-14.10%4.14B
-2.72%4.58B
-6.79%4.52B
-0.82%4.71B
2.86%4.82B
-2.04%4.71B
-10.27%4.85B
-13.61%4.74B
-17.40%4.69B
--4.80B
--5.40B
--5.49B
--5.67B
--695.40M
13.75%957.90M
-30.93%842.10M
-46.72%845.50M
-39.20%1.22B
-25.81%1.59B
-3.56%2.01B
-37.70%2.14B
-41.50%2.08B
-0.72%3.43B
-1.80%3.55B
--3.46B
--3.62B
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
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Häufig gestellte Fragen

Was ist die Bilanz?

Es handelt sich um einen Finanzbericht, der die Vermögenswerte, Verbindlichkeiten und das Eigenkapital eines Unternehmens zu einem bestimmten Zeitpunkt zusammenfasst.
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