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Autolus Therapeutics PLC

AUTL

2.351USD

+0.001+0.03%
Trading geöffnet ETKurse um 15 Minuten verzögert
625.55MMarktkapitalisierung
VerlustKGV 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
FY2018Q2
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-31.90%516.58M
145.45%588.02M
156.25%657.07M
129.57%705.94M
121.13%758.53M
-37.36%239.57M
57.26%256.42M
42.07%307.50M
27.73%343.03M
23.23%382.44M
-5.78%163.05M
0.04%216.44M
12.36%268.56M
102.44%310.34M
-2.61%173.06M
2.03%216.35M
-1.77%239.01M
-27.22%153.30M
-22.53%177.69M
-20.34%212.04M
29.61%243.31M
-14.75%210.64M
--229.37M
120.59%266.19M
--187.73M
--247.09M
--120.67M
- Barmittel und Barmitteläquivalente
-87.37%95.80M
-5.09%227.38M
156.25%657.07M
129.57%705.94M
121.13%758.53M
-37.36%239.57M
57.26%256.42M
42.07%307.50M
27.73%343.03M
23.23%382.44M
-5.78%163.05M
0.04%216.44M
12.36%268.56M
102.44%310.34M
-2.61%173.06M
2.03%216.35M
-1.77%239.01M
-27.22%153.30M
-22.53%177.69M
-20.34%212.04M
29.61%243.31M
-14.75%210.64M
--229.37M
120.59%266.19M
--187.73M
--247.09M
--120.67M
-Kurzfristige Anlagen
--420.78M
--360.64M
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Forderungen
104.39%65.34M
96.56%48.24M
3.15%43.28M
-0.59%37.99M
-8.24%31.97M
-15.30%24.54M
1.64%41.96M
4.05%38.22M
9.39%34.84M
10.38%28.98M
-23.99%41.28M
-16.93%36.73M
-18.82%31.85M
-11.57%26.25M
26.51%54.31M
39.36%44.22M
25.22%39.23M
-2.75%29.68M
71.79%42.93M
39.35%31.73M
59.34%31.33M
--30.52M
--24.99M
--22.77M
--19.66M
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-Forderungen aus Lieferungen und Leistungen
--14.32M
-86.24%15.00K
-100.00%0.00
-100.00%0.00
-100.00%0.00
-9.92%109.00K
-92.10%165.00K
--100.00K
--121.00K
--121.00K
--2.09M
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-Sonstige Forderungen
68.16%45.52M
94.95%42.23M
-4.31%37.77M
-8.54%32.24M
-15.22%27.07M
-17.18%21.66M
7.10%39.47M
2.84%35.25M
8.44%31.93M
7.18%26.15M
-30.47%36.85M
-17.67%34.28M
-18.07%29.45M
-8.13%24.40M
28.59%53.00M
36.10%41.63M
18.00%35.94M
-7.12%26.56M
81.34%41.22M
45.24%30.59M
78.63%30.46M
--28.60M
--22.73M
--21.06M
--17.05M
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Inventar
--14.65M
--4.14M
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Aktive Rechnungsabgrenzungsposten
23.31%13.72M
76.11%15.21M
86.56%14.06M
65.18%11.87M
-18.76%11.13M
-29.98%8.64M
5.02%7.54M
52.67%7.18M
76.27%13.70M
41.59%12.34M
-13.04%7.17M
-27.52%4.71M
3.92%7.77M
-14.63%8.71M
27.55%8.25M
66.61%6.49M
44.32%7.48M
45.32%10.21M
25.73%6.47M
27.40%3.90M
77.92%5.18M
-42.38%7.02M
--5.14M
-72.69%3.06M
--2.91M
--12.19M
--11.20M
Sonstige kurzfristige Vermögenswerte
105.35%5.49M
107.98%5.32M
49.96%3.71M
13.86%2.80M
15.05%2.67M
26.41%2.56M
208.61%2.47M
127.03%2.46M
80.65%2.33M
22.47%2.02M
-61.02%801.00K
-55.57%1.08M
-45.00%1.29M
-56.48%1.65M
15.84%2.06M
130.84%2.44M
108.93%2.34M
255.91%3.79M
160.50%1.77M
54.76%1.06M
64.46%1.12M
--1.07M
--681.00K
--683.00K
--681.00K
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Summe der kurzfristigen Vermögenswerte
-23.44%615.77M
140.07%660.93M
132.87%718.11M
113.47%758.60M
104.20%804.30M
-35.34%275.30M
45.25%308.38M
37.23%355.37M
27.28%393.88M
22.72%425.77M
-10.67%212.31M
-3.91%258.96M
7.43%309.46M
76.13%346.95M
3.85%237.68M
8.35%269.51M
2.53%288.06M
-20.97%196.98M
-12.04%228.87M
-15.02%248.73M
33.16%280.94M
-3.87%249.26M
--260.18M
121.96%292.71M
--210.99M
--259.28M
--131.87M
Langfristige Vermögenswerte
Nettoanlagevermögen
23.43%114.22M
9.83%105.05M
11.40%104.76M
-0.63%90.54M
50.40%92.54M
63.74%95.65M
105.74%94.04M
85.84%91.11M
27.17%61.53M
11.67%58.42M
-14.01%45.71M
-10.52%49.02M
-11.62%48.38M
-41.67%52.32M
-35.40%53.16M
-2.26%54.79M
2.30%54.74M
73.90%89.68M
56.61%82.29M
8.90%56.05M
4.20%53.51M
281.23%51.57M
--52.55M
344.11%51.47M
--51.36M
--13.53M
--11.59M
-Anlagevermögen
23.64%151.91M
12.25%139.67M
13.78%140.02M
2.28%122.82M
39.07%122.87M
44.75%124.43M
76.92%123.06M
64.12%120.08M
21.92%88.35M
14.57%85.96M
-5.63%69.56M
-0.42%73.17M
1.85%72.47M
-28.09%75.03M
-22.04%73.71M
10.61%73.48M
13.42%71.15M
73.51%104.35M
59.36%94.55M
15.93%66.43M
11.67%62.73M
--60.14M
--59.33M
--57.30M
--56.18M
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-Abgegrenzte Abschreibungen
24.28%37.69M
20.31%34.62M
21.50%35.26M
11.42%32.29M
13.06%30.33M
4.47%28.77M
21.68%29.02M
20.01%28.98M
11.37%26.82M
21.24%27.54M
16.04%23.85M
29.19%24.14M
46.77%24.08M
54.92%22.72M
67.61%20.55M
80.14%18.69M
77.93%16.41M
71.20%14.66M
80.67%12.26M
78.05%10.38M
91.29%9.22M
--8.56M
--6.79M
--5.83M
--4.82M
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Goodwill und andere immaterielle Vermögenswerte
--12.47M
--12.37M
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-100.00%0.00
-90.80%8.00K
-77.68%25.00K
-65.93%46.00K
-58.86%65.00K
-49.42%87.00K
-39.78%112.00K
-36.92%135.00K
-37.80%158.00K
--172.00K
--186.00K
--214.00K
-36.34%254.00K
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--399.00K
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Langfristige im Voraus bezahlte Aufwendungen
-64.63%116.00K
-55.26%170.00K
41.91%193.00K
-3.73%284.00K
-29.46%328.00K
-82.54%380.00K
-92.08%136.00K
-84.38%295.00K
-78.06%465.00K
-7.87%2.18M
-31.61%1.72M
-31.59%1.89M
-27.90%2.12M
-22.12%2.36M
-13.08%2.51M
-1.88%2.76M
350.77%2.94M
--3.03M
--2.89M
--2.81M
--652.00K
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Sonstige langfristige Vermögenswerte
-15.83%3.87M
-1.22%4.37M
25.54%4.62M
-0.82%4.48M
0.88%4.60M
-27.25%4.43M
-36.64%3.68M
-24.27%4.52M
-25.30%4.56M
-2.30%6.08M
1.54%5.80M
-4.51%5.97M
-10.38%6.10M
-15.99%6.23M
-0.56%5.71M
12.05%6.25M
127.35%6.81M
202.53%7.41M
200.52%5.75M
183.82%5.58M
49.00%3.00M
--2.45M
--1.91M
--1.96M
--2.01M
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Summe der langfristigen Vermögenswerte
34.41%130.56M
21.70%121.80M
11.93%109.38M
-0.63%95.02M
46.99%97.14M
55.15%100.08M
89.67%97.72M
73.82%95.63M
21.19%66.09M
10.06%64.50M
-12.62%51.52M
-10.03%55.02M
-11.60%54.53M
-39.74%58.61M
-33.16%58.96M
-1.08%61.15M
8.75%61.69M
79.18%97.25M
61.97%88.21M
15.68%61.82M
6.28%56.72M
289.72%54.28M
--54.46M
361.06%53.44M
--53.37M
--13.93M
--11.59M
Summe der Vermögenswerte
-17.21%746.34M
108.51%782.73M
103.77%827.49M
89.28%853.62M
95.98%901.44M
-23.43%375.38M
53.92%406.10M
43.64%450.99M
26.37%459.97M
20.89%490.27M
-11.06%263.83M
-5.04%313.98M
4.07%363.99M
37.83%405.56M
-6.45%296.64M
6.47%330.65M
3.58%349.75M
-3.06%294.24M
0.77%317.08M
-10.28%310.55M
27.73%337.66M
11.10%303.53M
--314.64M
141.28%346.14M
--264.36M
--273.20M
--143.46M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
--0.00
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--0.00
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Rückstellungen
31.48%49.66M
32.07%52.28M
51.29%47.49M
14.94%35.58M
9.59%37.77M
-2.98%39.58M
-9.40%31.39M
-1.25%30.95M
40.59%34.46M
72.38%40.80M
21.02%34.64M
35.27%31.35M
1.07%24.51M
-14.81%23.67M
12.70%28.63M
1.85%23.17M
7.93%24.25M
32.25%27.78M
63.37%25.40M
36.34%22.75M
53.23%22.47M
48.95%21.01M
--15.55M
40.38%16.69M
--14.66M
--14.10M
--11.89M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
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--0.00
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Aufgeschobene Verbindlichkeiten
--9.53M
--3.50M
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Andere kurzfristige Verbindlichkeiten
--9.53M
--3.50M
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--0.00
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Summe der kurzfristigen Verbindlichkeiten
51.45%66.61M
35.78%60.74M
39.78%52.47M
-0.39%40.90M
10.97%43.98M
-3.51%44.74M
-3.29%37.54M
15.62%41.06M
37.44%39.64M
62.40%46.37M
12.31%38.82M
26.00%35.52M
-5.75%28.84M
-15.11%28.55M
12.18%34.56M
3.37%28.19M
17.46%30.60M
34.62%33.63M
49.83%30.81M
22.25%27.27M
31.68%26.05M
45.77%24.98M
--20.56M
43.89%22.30M
--19.78M
--17.14M
--15.50M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
12.06%308.17M
34.47%294.23M
58.52%297.60M
57.62%284.46M
79.39%275.01M
50.78%218.81M
194.49%187.75M
182.77%180.47M
139.95%153.30M
128.31%145.12M
267.60%63.75M
239.74%63.82M
226.29%63.89M
25.69%63.56M
-64.93%17.34M
-22.78%18.79M
-18.87%19.58M
113.29%50.57M
102.63%49.46M
-4.58%24.33M
-8.75%24.14M
--23.71M
--24.41M
--25.50M
--26.45M
--0.00
--0.00
-Langfristige Verbindlichkeiten
10.92%253.44M
43.13%244.60M
76.83%248.94M
75.79%238.66M
74.68%228.49M
35.74%170.90M
168.44%140.78M
168.23%135.76M
168.01%130.81M
167.78%125.90M
--52.44M
--50.62M
--48.81M
--47.02M
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-Langfristige Leasingverbindlichkeiten
17.66%54.73M
3.58%49.63M
3.61%48.66M
2.43%45.79M
106.79%46.52M
149.32%47.91M
315.27%46.97M
238.48%44.71M
49.16%22.50M
16.16%19.22M
-34.79%11.31M
-29.69%13.21M
-22.98%15.08M
-67.28%16.55M
-64.93%17.34M
-22.78%18.79M
-18.87%19.58M
113.29%50.57M
102.63%49.46M
-4.58%24.33M
-8.75%24.14M
--23.71M
--24.41M
--25.50M
--26.45M
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Andere langfristige Verbindlichkeiten
8.56%444.00K
19.33%426.00K
51.53%447.00K
240.16%415.00K
258.77%409.00K
207.76%357.00K
180.95%295.00K
6.09%122.00K
-8.06%114.00K
-9.38%116.00K
--105.00K
--115.00K
--124.00K
--128.00K
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-100.00%0.00
--30.00K
-85.96%121.00K
--241.00K
--601.00K
--862.00K
Gesamt langfristige Verbindlichkeiten
12.05%308.62M
34.44%294.66M
58.50%298.05M
57.74%284.87M
79.53%275.42M
50.91%219.17M
194.47%188.04M
182.45%180.59M
139.67%153.41M
128.04%145.23M
268.21%63.86M
240.35%63.94M
226.92%64.01M
25.94%63.69M
-64.93%17.34M
-22.78%18.79M
-18.87%19.58M
113.29%50.57M
102.38%49.46M
-5.03%24.33M
-9.57%24.14M
3845.09%23.71M
--24.44M
2871.93%25.62M
--26.69M
--601.00K
--862.00K
Gesamtverbindlichkeiten
17.48%375.23M
34.67%355.40M
55.39%350.52M
46.97%325.78M
65.45%319.41M
37.74%263.91M
119.70%225.58M
122.87%221.66M
107.91%193.05M
107.72%191.60M
97.81%102.68M
111.73%99.45M
85.04%92.85M
9.54%92.24M
-35.33%51.91M
-8.96%46.97M
-0.01%50.18M
72.93%84.20M
78.37%80.27M
7.66%51.60M
7.99%50.19M
174.49%48.69M
--45.00M
192.87%47.92M
--46.47M
--17.74M
--16.36M
Eigenkapital der Aktionäre
Stammkapital
1.06%1.56B
52.67%1.56B
52.56%1.55B
52.58%1.55B
52.68%1.54B
1.12%1.02B
19.22%1.02B
19.37%1.01B
19.47%1.01B
19.51%1.01B
16.09%851.83M
15.85%848.37M
17.99%845.45M
41.69%843.11M
24.29%733.79M
24.94%732.29M
23.38%716.55M
18.87%595.02M
19.49%590.37M
20.51%586.11M
57.53%580.77M
39.85%500.56M
--494.08M
146.91%486.37M
--368.68M
--357.92M
--196.98M
Gewinnrücklagen
-25.57%-1.17B
-25.12%-1.10B
-33.72%-1.07B
-30.97%-989.52M
-31.16%-931.25M
-31.09%-878.56M
-24.59%-801.39M
-25.83%-755.54M
-27.15%-709.99M
-28.55%-670.18M
-34.10%-643.23M
-34.73%-600.46M
-35.37%-558.40M
-37.47%-521.34M
-42.60%-479.67M
-49.02%-445.68M
-54.48%-412.51M
-59.92%-379.24M
-71.44%-336.38M
-77.01%-299.07M
-90.08%-267.02M
-155.96%-237.15M
---196.21M
-134.21%-168.96M
---140.48M
---92.65M
---72.14M
Kapitalrücklagen
1.06%1.56B
52.67%1.56B
52.56%1.55B
52.58%1.55B
52.68%1.54B
1.12%1.02B
19.22%1.02B
19.37%1.01B
19.47%1.01B
19.51%1.01B
16.09%851.82M
15.85%848.37M
17.99%845.45M
41.70%843.11M
24.29%733.79M
24.94%732.29M
23.38%716.54M
18.87%595.02M
19.49%590.37M
20.51%586.11M
57.53%580.77M
39.85%500.56M
--494.08M
146.91%486.37M
--368.68M
--357.92M
--196.98M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
37.42%-18.11M
-0.63%-29.17M
97.34%-898.00K
0.18%-27.91M
13.00%-28.93M
25.47%-28.99M
28.95%-33.79M
16.57%-27.96M
-107.53%-33.26M
-353.89%-38.90M
-400.20%-47.56M
-1000.13%-33.51M
-249.28%-16.02M
-46.22%-8.57M
45.02%-9.51M
89.20%-3.05M
82.62%-4.59M
32.56%-5.86M
39.00%-17.30M
-46.10%-28.21M
-152.87%-26.39M
12.39%-8.69M
---28.35M
-955.14%-19.31M
---10.44M
---9.92M
--2.26M
Sonstiges Eigenkapital
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
0.00%118.00K
--118.00K
--118.00K
--118.00K
--118.00K
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Gesamtes Eigenkapital
-36.24%371.11M
283.34%427.32M
164.22%476.96M
130.16%527.84M
118.05%582.03M
-62.68%111.47M
12.02%180.52M
6.91%229.34M
-1.56%266.92M
-4.67%298.67M
-34.15%161.15M
-24.38%214.52M
-9.49%271.14M
49.18%313.32M
3.34%244.73M
9.55%283.68M
4.21%299.57M
-17.58%210.03M
-12.18%236.81M
-13.17%258.95M
31.94%287.48M
-0.25%254.84M
--269.64M
134.64%298.22M
--217.88M
--255.47M
--127.10M
Währungseinheit
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Prüfungsmeinungen
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