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Broadcom Inc

AVGO

288.350USD

-5.350-1.82%
Trading geöffnet ETKurse um 15 Minuten verzögert
1.36TMarktkapitalisierung
104.99KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q2
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
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FY2014Q3
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FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-3.44%9.47B
-21.55%9.31B
-34.12%9.35B
-17.45%9.95B
-15.10%9.81B
-6.19%11.86B
14.28%14.19B
20.83%12.05B
28.30%11.55B
23.76%12.65B
2.08%12.42B
-10.16%9.98B
-5.39%9.01B
6.98%10.22B
59.66%12.16B
25.38%11.11B
3.38%9.52B
48.23%9.55B
50.70%7.62B
62.16%8.86B
72.80%9.21B
26.53%6.44B
17.78%5.05B
32.06%5.46B
-34.92%5.33B
-28.02%5.09B
-61.69%4.29B
-24.10%4.14B
83.81%8.19B
100.11%7.08B
261.77%11.20B
177.87%5.45B
118.23%4.45B
63.02%3.54B
69.98%3.10B
44.83%1.96B
-18.62%2.04B
-15.57%2.17B
13.59%1.82B
6.03%1.35B
96.24%2.51B
131.03%2.57B
62.84%1.60B
47.97%1.28B
4.84%1.28B
-3.39%1.11B
-9.13%985.00M
-11.31%863.00M
27.78%1.22B
40.54%1.15B
--1.08B
--973.00M
--954.00M
--819.00M
- Barmittel und Barmitteläquivalente
-3.44%9.47B
-21.55%9.31B
-34.12%9.35B
-17.45%9.95B
-15.10%9.81B
-6.19%11.86B
14.28%14.19B
20.83%12.05B
28.30%11.55B
23.76%12.65B
2.08%12.42B
-10.16%9.98B
-5.39%9.01B
6.98%10.22B
59.66%12.16B
25.38%11.11B
3.38%9.52B
48.23%9.55B
50.70%7.62B
62.16%8.86B
72.80%9.21B
26.53%6.44B
17.78%5.05B
32.06%5.46B
-34.92%5.33B
-28.02%5.09B
-61.69%4.29B
-21.20%4.14B
92.45%8.19B
100.11%7.08B
261.77%11.20B
167.67%5.25B
108.43%4.25B
63.02%3.54B
69.98%3.10B
44.83%1.96B
-18.62%2.04B
-15.57%2.17B
13.59%1.82B
6.03%1.35B
96.24%2.51B
131.03%2.57B
62.84%1.60B
47.97%1.28B
4.84%1.28B
-3.39%1.11B
-9.13%985.00M
-11.31%863.00M
27.78%1.22B
40.54%1.15B
--1.08B
--973.00M
--954.00M
--819.00M
-Kurzfristige Anlagen
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--200.00M
--200.00M
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Forderungen
59.95%8.80B
54.50%7.68B
100.76%6.33B
113.52%6.22B
81.46%5.50B
53.65%4.97B
6.63%3.15B
7.61%2.91B
-1.69%3.03B
27.37%3.23B
42.83%2.96B
21.22%2.71B
27.13%3.08B
0.59%2.54B
-9.84%2.07B
-16.77%2.23B
-24.48%2.42B
-30.87%2.52B
-29.52%2.30B
-24.16%2.68B
-7.84%3.21B
-0.71%3.65B
-3.86%3.26B
14.79%3.54B
22.85%3.48B
49.53%3.68B
38.48%3.39B
27.55%3.08B
36.81%2.84B
26.30%2.46B
12.24%2.45B
10.82%2.42B
11.63%2.07B
83.68%1.95B
114.03%2.18B
169.59%2.18B
144.99%1.86B
47.63%1.06B
30.31%1.02B
37.12%809.00M
137.62%758.00M
122.29%718.00M
87.08%782.00M
61.64%590.00M
17.71%319.00M
21.43%323.00M
22.58%418.00M
10.61%365.00M
-1.09%271.00M
-13.64%266.00M
--341.00M
--330.00M
--274.00M
--308.00M
-Forderungen aus Lieferungen und Leistungen
1.15%5.56B
-0.28%4.96B
40.01%4.42B
60.09%4.67B
81.46%5.50B
53.65%4.97B
6.63%3.15B
7.61%2.91B
-1.69%3.03B
27.37%3.23B
42.83%2.96B
21.22%2.71B
27.13%3.08B
0.59%2.54B
-9.84%2.07B
-16.77%2.23B
-24.48%2.42B
-30.87%2.52B
-29.52%2.30B
-24.16%2.68B
-7.84%3.21B
-0.71%3.65B
-1.98%3.26B
17.57%3.54B
26.74%3.48B
49.53%3.68B
35.83%3.33B
24.53%3.01B
32.61%2.75B
26.30%2.46B
12.24%2.45B
10.82%2.42B
11.63%2.07B
83.68%1.95B
114.03%2.18B
169.59%2.18B
144.99%1.86B
47.63%1.06B
30.31%1.02B
37.12%809.00M
137.62%758.00M
122.29%718.00M
87.08%782.00M
61.64%590.00M
17.71%319.00M
21.43%323.00M
22.58%418.00M
10.61%365.00M
-1.09%271.00M
-13.64%266.00M
--341.00M
--330.00M
--274.00M
--308.00M
-Sonstige Forderungen
--3.23B
--2.72B
--1.92B
--1.56B
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--65.00M
--73.00M
--87.00M
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Inventar
9.50%2.02B
-0.63%1.91B
-7.27%1.76B
2.82%1.89B
-2.33%1.84B
1.11%1.92B
-1.40%1.90B
0.22%1.84B
13.07%1.89B
24.93%1.90B
48.42%1.93B
58.45%1.84B
66.14%1.67B
59.66%1.52B
29.31%1.30B
7.31%1.16B
5.35%1.00B
0.85%952.00M
14.76%1.00B
-0.92%1.08B
-7.83%953.00M
-12.10%944.00M
-22.24%874.00M
-10.28%1.09B
-16.28%1.03B
-16.81%1.07B
-22.32%1.12B
-15.02%1.22B
-5.80%1.24B
-3.37%1.29B
3.36%1.45B
9.57%1.43B
-10.63%1.31B
172.65%1.34B
167.18%1.40B
157.59%1.31B
199.39%1.47B
-2.00%490.00M
0.96%524.00M
5.19%507.00M
62.79%490.00M
74.83%500.00M
82.11%519.00M
69.72%482.00M
31.44%301.00M
37.50%286.00M
46.91%285.00M
31.48%284.00M
5.05%229.00M
7.77%208.00M
--194.00M
--216.00M
--218.00M
--193.00M
Aktive Rechnungsabgrenzungsposten
-46.27%936.00M
-9.51%1.28B
87.21%1.39B
147.11%1.07B
157.69%1.74B
133.17%1.42B
-14.00%743.00M
-40.52%433.00M
-1.89%676.00M
5.18%609.00M
60.30%864.00M
43.03%728.00M
14.07%689.00M
12.87%579.00M
39.28%539.00M
17.55%509.00M
55.27%604.00M
22.14%513.00M
28.15%387.00M
7.71%433.00M
-1.52%389.00M
38.16%420.00M
24.28%302.00M
80.27%402.00M
127.01%395.00M
--304.00M
--243.00M
--223.00M
--174.00M
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Sonstige kurzfristige Vermögenswerte
-19.28%959.00M
-25.07%813.00M
-11.47%764.00M
-25.71%809.00M
63.86%1.19B
142.73%1.08B
153.08%863.00M
251.29%1.09B
98.63%725.00M
-7.64%447.00M
-33.91%341.00M
-50.64%310.00M
-47.41%365.00M
-36.23%484.00M
-12.54%516.00M
0.32%628.00M
50.22%694.00M
16.77%759.00M
38.17%590.00M
54.95%626.00M
5.96%462.00M
42.54%650.00M
636.21%427.00M
991.89%404.00M
938.10%436.00M
15.74%456.00M
-91.99%58.00M
-94.27%37.00M
-93.33%42.00M
-25.80%394.00M
61.97%724.00M
82.49%646.00M
31.25%630.00M
114.11%531.00M
20.16%447.00M
-9.23%354.00M
51.90%480.00M
-19.22%248.00M
23.18%372.00M
-15.58%390.00M
132.35%316.00M
122.46%307.00M
132.31%302.00M
258.14%462.00M
37.37%136.00M
56.82%138.00M
80.56%130.00M
108.06%129.00M
59.68%99.00M
69.23%88.00M
--72.00M
--62.00M
--62.00M
--52.00M
Summe der kurzfristigen Vermögenswerte
-12.33%22.18B
-22.81%20.99B
-6.01%19.59B
8.80%19.95B
41.58%25.30B
44.36%27.19B
12.66%20.85B
17.81%18.33B
20.67%17.87B
22.78%18.84B
11.56%18.50B
-0.48%15.56B
3.97%14.81B
7.28%15.34B
39.44%16.59B
14.29%15.64B
0.16%14.24B
18.09%14.30B
19.95%11.89B
25.54%13.68B
33.20%14.22B
14.19%12.11B
8.89%9.92B
25.34%10.90B
-14.41%10.68B
-5.49%10.60B
-42.44%9.11B
-12.55%8.70B
47.31%12.47B
52.65%11.22B
122.08%15.82B
64.40%9.94B
26.63%8.47B
85.09%7.35B
89.55%7.13B
90.85%6.05B
64.06%6.69B
-3.10%3.97B
-1.98%3.76B
-17.47%3.17B
100.39%4.08B
120.44%4.10B
110.95%3.83B
134.00%3.84B
11.88%2.03B
8.52%1.86B
7.51%1.82B
3.80%1.64B
20.56%1.82B
24.85%1.71B
--1.69B
--1.58B
--1.51B
--1.37B
Langfristige Vermögenswerte
Nettoanlagevermögen
-7.72%2.46B
-7.40%2.46B
17.04%2.52B
19.36%2.60B
20.78%2.67B
20.95%2.66B
-3.10%2.15B
-3.11%2.18B
-2.34%2.21B
-4.43%2.20B
-5.32%2.22B
-5.06%2.25B
-6.37%2.26B
-7.73%2.30B
-24.21%2.35B
-25.31%2.37B
-25.22%2.42B
-22.87%2.50B
20.78%3.10B
21.52%3.17B
21.74%3.23B
20.57%3.24B
-2.66%2.56B
-3.12%2.61B
-2.43%2.65B
-2.29%2.68B
1.39%2.63B
-7.36%2.69B
-1.52%2.72B
3.82%2.75B
3.59%2.60B
13.06%2.91B
11.10%2.76B
75.81%2.65B
71.85%2.51B
84.84%2.57B
84.97%2.49B
18.60%1.50B
26.08%1.46B
37.01%1.39B
83.86%1.34B
85.53%1.27B
75.19%1.16B
63.87%1.02B
30.30%731.00M
29.30%684.00M
31.41%661.00M
36.87%620.00M
39.55%561.00M
49.44%529.00M
--503.00M
--453.00M
--402.00M
--354.00M
-Anlagevermögen
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--3.64B
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--1.85B
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-Abgegrenzte Abschreibungen
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--1.13B
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--693.00M
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Goodwill und andere immaterielle Vermögenswerte
-6.34%134.19B
-5.74%136.45B
191.36%138.46B
191.90%140.91B
192.12%143.28B
190.48%144.77B
-6.32%47.52B
-6.78%48.27B
-7.18%49.05B
-7.18%49.84B
-7.48%50.73B
-7.82%51.78B
-8.14%52.84B
-8.80%53.69B
-8.97%54.82B
-9.11%56.18B
-9.22%57.52B
-9.33%58.88B
10.98%60.23B
11.23%61.80B
11.46%63.37B
11.69%64.94B
44.04%54.27B
44.26%55.56B
44.83%56.85B
45.10%58.14B
6.01%37.67B
5.15%38.52B
4.06%39.25B
3.36%40.07B
-10.71%35.54B
-9.78%36.63B
-9.58%37.72B
712.04%38.77B
703.88%39.80B
681.13%40.60B
755.62%41.72B
-5.30%4.77B
-5.03%4.95B
2.36%5.20B
485.35%4.88B
486.85%5.04B
490.37%5.21B
459.87%5.08B
40.24%833.00M
47.34%859.00M
390.56%883.00M
46.05%907.00M
-6.90%594.00M
-11.26%583.00M
--180.00M
--621.00M
--638.00M
--657.00M
Sonstige langfristige Vermögenswerte
46.25%5.79B
67.92%5.45B
116.79%5.07B
60.56%4.51B
56.01%3.96B
54.52%3.25B
30.22%2.34B
62.09%2.81B
40.82%2.54B
11.35%2.10B
-0.83%1.80B
2.06%1.73B
34.75%1.80B
45.08%1.89B
154.85%1.81B
165.31%1.70B
83.54%1.34B
79.56%1.30B
-4.31%711.00M
-7.65%640.00M
-0.82%729.00M
6.16%724.00M
5.09%743.00M
49.35%693.00M
50.61%735.00M
34.52%682.00M
54.37%707.00M
1.53%464.00M
-45.60%488.00M
-40.63%507.00M
-13.91%458.00M
-13.45%457.00M
74.51%897.00M
62.05%854.00M
54.20%532.00M
130.57%528.00M
117.80%514.00M
82.35%527.00M
21.05%345.00M
-30.18%229.00M
223.29%236.00M
312.86%289.00M
437.74%285.00M
811.11%328.00M
10.61%73.00M
4.48%70.00M
-19.70%53.00M
-40.00%36.00M
4.76%66.00M
9.84%67.00M
--66.00M
--60.00M
--63.00M
--61.00M
Summe der langfristigen Vermögenswerte
-4.98%142.45B
-4.19%144.37B
180.79%146.05B
177.91%148.02B
178.66%149.91B
178.31%150.68B
-4.99%52.01B
-4.49%53.26B
-5.47%53.80B
-6.47%54.14B
-7.19%54.74B
-7.43%55.77B
-7.13%56.91B
-7.64%57.88B
-7.89%58.98B
-8.19%60.24B
-8.98%61.28B
-9.04%62.67B
11.22%64.04B
11.46%65.62B
11.76%67.33B
12.02%68.90B
40.37%57.58B
41.25%58.87B
41.87%60.24B
41.97%61.51B
6.28%41.02B
4.20%41.68B
2.61%42.46B
2.50%43.32B
-9.91%38.59B
-8.48%40.00B
-7.47%41.38B
521.03%42.27B
534.12%42.84B
540.92%43.70B
592.69%44.72B
3.14%6.81B
1.50%6.76B
6.18%6.82B
294.38%6.46B
309.11%6.60B
316.78%6.66B
310.88%6.42B
34.07%1.64B
36.81%1.61B
113.22%1.60B
37.83%1.56B
10.70%1.22B
9.98%1.18B
--749.00M
--1.13B
--1.10B
--1.07B
Summe der Vermögenswerte
-6.04%164.63B
-7.03%165.36B
127.34%165.65B
134.61%167.97B
144.48%175.21B
143.74%177.87B
-0.53%72.86B
0.38%71.59B
-0.07%71.67B
-0.34%72.98B
-3.07%73.25B
-6.00%71.33B
-5.04%71.72B
-4.87%73.22B
-0.48%75.57B
-4.31%75.88B
-7.39%75.52B
-4.98%76.97B
12.51%75.93B
13.66%79.30B
14.99%81.55B
12.34%81.01B
34.65%67.49B
38.50%69.77B
29.09%70.92B
32.21%72.11B
-7.89%50.12B
0.86%50.37B
10.20%54.94B
9.93%54.54B
8.91%54.42B
0.38%49.94B
-3.03%49.85B
360.40%49.62B
375.19%49.97B
398.12%49.75B
388.10%51.41B
0.75%10.78B
0.23%10.52B
-2.67%9.99B
186.90%10.53B
208.09%10.70B
207.20%10.49B
220.29%10.26B
20.80%3.67B
20.06%3.47B
19.32%3.42B
18.01%3.20B
16.39%3.04B
18.33%2.89B
--2.86B
--2.71B
--2.61B
--2.44B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
2.51%1.55B
-9.10%1.70B
142.49%1.68B
79.30%1.70B
77.93%1.52B
111.19%1.87B
-13.61%692.00M
12.87%947.00M
19.83%852.00M
11.32%885.00M
34.40%801.00M
-2.56%839.00M
-8.14%711.00M
2.19%795.00M
-11.18%596.00M
10.95%861.00M
-13.81%774.00M
-24.69%778.00M
-15.17%671.00M
-25.24%776.00M
-36.36%898.00M
-18.21%1.03B
143.38%791.00M
303.89%1.04B
87.14%1.41B
79.40%1.26B
-52.28%325.00M
-50.00%257.00M
13.73%754.00M
-4.74%704.00M
-19.50%681.00M
-39.03%514.00M
-34.94%663.00M
284.90%739.00M
310.68%846.00M
381.71%843.00M
472.47%1.02B
-10.70%192.00M
15.08%206.00M
-23.25%175.00M
217.86%178.00M
357.45%215.00M
289.13%179.00M
612.50%228.00M
86.67%56.00M
46.88%47.00M
27.78%46.00M
-3.03%32.00M
-26.83%30.00M
-17.95%32.00M
--36.00M
--33.00M
--41.00M
--39.00M
Rückstellungen
-8.59%1.27B
-18.26%922.00M
110.80%1.97B
107.58%1.73B
118.45%1.39B
110.45%1.13B
-22.21%935.00M
-22.98%831.00M
-15.58%634.00M
0.94%536.00M
12.76%1.20B
20.83%1.08B
17.53%751.00M
7.49%531.00M
21.55%1.07B
21.99%893.00M
29.35%639.00M
13.56%494.00M
19.16%877.00M
27.30%732.00M
3.35%494.00M
-6.05%435.00M
-15.98%736.00M
-26.75%575.00M
14.63%478.00M
39.04%463.00M
39.94%876.00M
43.77%785.00M
-10.13%417.00M
-0.89%333.00M
21.08%626.00M
28.77%546.00M
53.14%464.00M
232.67%336.00M
106.80%517.00M
84.35%424.00M
67.40%303.00M
-23.48%101.00M
14.16%250.00M
11.11%230.00M
110.47%181.00M
123.73%132.00M
123.47%219.00M
158.75%207.00M
45.76%86.00M
22.92%59.00M
60.66%98.00M
15.94%80.00M
3.51%59.00M
-5.88%48.00M
--61.00M
--69.00M
--57.00M
--51.00M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
127.99%5.53B
132.35%5.65B
-20.96%1.27B
182.48%3.16B
117.19%2.43B
118.21%2.43B
265.45%1.61B
268.09%1.12B
269.87%1.12B
271.67%1.11B
51.72%440.00M
8.96%304.00M
8.63%302.00M
-65.28%300.00M
-64.93%290.00M
-66.06%279.00M
-66.06%278.00M
-62.61%864.00M
-70.33%827.00M
-76.76%822.00M
-76.84%819.00M
-34.66%2.31B
--2.79B
2923.08%3.54B
2923.08%3.54B
2923.08%3.54B
-100.00%0.00
--117.00M
--117.00M
--117.00M
-74.23%117.00M
-100.00%0.00
-100.00%0.00
-100.00%0.00
886.96%454.00M
626.09%334.00M
647.83%344.00M
0.00%46.00M
0.00%46.00M
0.00%46.00M
--46.00M
4500.00%46.00M
4500.00%46.00M
2200.00%46.00M
----
0.00%1.00M
0.00%1.00M
100.00%2.00M
0.00%1.00M
-50.00%1.00M
--1.00M
--1.00M
--1.00M
--2.00M
-Kurzfristige Verbindlichkeiten
--3.88B
--3.99B
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Kurzfristige Leasingverpflichtungen
-92.31%4.00M
-81.36%11.00M
-42.22%26.00M
4.76%44.00M
30.00%52.00M
55.26%59.00M
21.62%45.00M
20.00%42.00M
21.21%40.00M
22.58%38.00M
42.31%37.00M
45.83%35.00M
43.48%33.00M
47.62%31.00M
30.00%26.00M
60.00%24.00M
91.67%23.00M
90.91%21.00M
--20.00M
--15.00M
--12.00M
--11.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
0.00%1.00M
0.00%1.00M
100.00%2.00M
0.00%1.00M
-50.00%1.00M
--1.00M
--1.00M
--1.00M
--2.00M
Aufgeschobene Verbindlichkeiten
-2.05%10.30B
3.28%9.91B
277.76%9.39B
232.85%9.79B
206.94%10.52B
208.56%9.59B
-15.15%2.49B
-10.80%2.94B
-4.81%3.43B
2.71%3.11B
11.91%2.93B
9.61%3.30B
5.60%3.60B
-2.29%3.03B
-0.04%2.62B
7.70%3.01B
11.22%3.41B
7.57%3.10B
74.55%2.62B
49.20%2.79B
51.13%3.06B
70.21%2.88B
815.24%1.50B
922.95%1.87B
--2.03B
--1.69B
--164.00M
--183.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Andere kurzfristige Verbindlichkeiten
-1.48%11.86B
1.27%11.61B
248.32%11.07B
195.45%11.49B
181.26%12.04B
186.98%11.46B
-14.82%3.18B
-6.00%3.89B
-0.74%4.28B
4.50%3.99B
16.08%3.73B
6.90%4.14B
3.06%4.31B
-1.39%3.82B
-2.31%3.21B
8.41%3.87B
5.55%4.18B
-0.95%3.88B
43.59%3.29B
22.65%3.57B
15.24%3.96B
32.42%3.91B
368.71%2.29B
561.36%2.91B
356.10%3.44B
319.74%2.96B
-28.19%489.00M
-14.40%440.00M
13.73%754.00M
-4.74%704.00M
-19.50%681.00M
-39.03%514.00M
-34.94%663.00M
284.90%739.00M
310.68%846.00M
381.71%843.00M
472.47%1.02B
-10.70%192.00M
15.08%206.00M
-23.25%175.00M
217.86%178.00M
357.45%215.00M
289.13%179.00M
612.50%228.00M
86.67%56.00M
46.88%47.00M
27.78%46.00M
-3.03%32.00M
-26.83%30.00M
-17.95%32.00M
--36.00M
--33.00M
--41.00M
--39.00M
Summe der kurzfristigen Verbindlichkeiten
2.11%20.60B
2.66%20.91B
125.48%16.70B
161.69%19.22B
168.55%20.17B
172.20%20.37B
5.01%7.41B
9.59%7.34B
8.70%7.51B
19.02%7.48B
12.28%7.05B
3.09%6.70B
7.36%6.91B
-6.08%6.29B
-1.41%6.28B
-3.00%6.50B
-2.50%6.44B
-13.50%6.69B
-7.65%6.37B
-19.08%6.70B
-22.37%6.60B
-7.31%7.74B
195.08%6.90B
278.69%8.28B
300.33%8.50B
323.81%8.35B
-7.55%2.34B
-1.40%2.19B
3.51%2.12B
-7.16%1.97B
-17.84%2.53B
-18.70%2.22B
-22.60%2.05B
146.17%2.12B
175.07%3.08B
186.55%2.73B
192.60%2.65B
2.01%862.00M
10.14%1.12B
1.28%952.00M
117.79%906.00M
132.14%845.00M
140.19%1.02B
147.37%940.00M
26.06%416.00M
31.41%364.00M
22.25%423.00M
11.11%380.00M
-7.30%330.00M
-11.78%277.00M
--346.00M
--342.00M
--356.00M
--314.00M
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-78.91%112.00M
7.48%503.00M
6.95%508.00M
10.45%518.00M
11.79%531.00M
0.21%468.00M
-1.25%475.00M
-5.44%469.00M
-6.13%475.00M
-2.91%467.00M
--481.00M
--496.00M
--506.00M
--481.00M
----
----
----
----
----
----
----
----
----
----
Langfristige Schulden und Leasingverbindlichkeiten
-13.73%61.74B
-17.04%60.91B
76.20%66.28B
74.76%66.78B
87.44%71.57B
92.47%73.43B
-3.68%37.62B
-2.43%38.21B
-2.44%38.18B
-2.61%38.15B
-2.03%39.05B
-2.44%39.16B
-2.46%39.13B
-4.52%39.17B
-2.10%39.86B
-8.13%40.14B
-11.93%40.12B
-4.44%41.02B
35.66%40.71B
28.41%43.70B
33.94%45.55B
25.88%42.93B
71.56%30.01B
94.59%34.03B
94.56%34.01B
95.16%34.10B
0.36%17.49B
28.85%17.49B
28.85%17.48B
28.85%17.48B
32.17%17.43B
1.43%13.57B
-7.48%13.57B
248.46%13.56B
244.69%13.19B
241.79%13.38B
273.51%14.66B
-14.10%3.89B
-15.78%3.83B
-28.45%3.92B
--3.93B
--4.53B
--4.54B
--5.47B
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Langfristige Verbindlichkeiten
-13.73%61.74B
-17.04%60.91B
76.20%66.28B
74.76%66.78B
87.44%71.57B
92.47%73.43B
-3.68%37.62B
-2.43%38.21B
-2.44%38.18B
-2.61%38.15B
-0.88%39.05B
-2.44%39.16B
-2.46%39.13B
-4.52%39.17B
-1.96%39.40B
-6.96%40.14B
-10.84%40.12B
-3.16%41.02B
33.91%40.19B
26.80%43.15B
32.31%45.00B
24.22%42.36B
71.56%30.01B
94.59%34.03B
94.56%34.01B
95.16%34.10B
0.36%17.49B
28.85%17.49B
28.85%17.48B
28.85%17.48B
32.17%17.43B
1.43%13.57B
-7.48%13.57B
248.46%13.56B
244.69%13.19B
241.79%13.38B
273.51%14.66B
-14.10%3.89B
-15.78%3.83B
-28.45%3.92B
--3.93B
--4.53B
--4.54B
--5.47B
----
----
----
----
----
----
----
----
----
----
-Langfristige Leasingverbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-12.71%460.00M
----
----
----
--527.00M
--546.00M
--553.00M
--568.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
-32.82%4.15B
-21.00%4.63B
1605.69%5.10B
--5.76B
--6.18B
--5.86B
-27.07%299.00M
----
----
----
-27.56%410.00M
----
----
----
-31.23%566.00M
-7.46%620.00M
-3.23%688.00M
-6.73%735.00M
--823.00M
68.77%670.00M
60.86%711.00M
52.42%788.00M
----
--397.00M
--442.00M
--517.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Langfristige aufgelaufene Kosten
16.30%3.73B
12.45%3.62B
31.41%3.67B
16.33%3.36B
12.95%3.21B
12.35%3.22B
-13.53%2.79B
-12.76%2.88B
-14.91%2.84B
-14.85%2.87B
-5.22%3.23B
0.76%3.31B
4.74%3.34B
4.86%3.37B
6.97%3.41B
-0.76%3.28B
-3.39%3.19B
-2.64%3.21B
-2.57%3.19B
-1.61%3.31B
-1.67%3.30B
1.45%3.30B
5.86%3.27B
21.38%3.36B
24.30%3.36B
-22.84%3.25B
--3.09B
--2.77B
--2.70B
--4.21B
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Mitarbeitervorteile
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-78.91%112.00M
7.48%503.00M
6.95%508.00M
10.45%518.00M
11.79%531.00M
0.21%468.00M
-1.25%475.00M
-5.44%469.00M
-6.13%475.00M
-2.91%467.00M
--481.00M
--496.00M
--506.00M
--481.00M
----
----
----
----
----
----
----
----
----
----
Andere langfristige Verbindlichkeiten
-30.54%5.60B
-21.55%6.09B
971.66%11.31B
590.41%7.35B
623.61%8.06B
575.57%7.77B
-10.90%1.05B
-13.00%1.06B
-15.35%1.11B
-16.18%1.15B
19.23%1.18B
-21.20%1.22B
-25.82%1.32B
-31.43%1.37B
-42.07%993.00M
-20.69%1.55B
-14.71%1.77B
-23.01%2.00B
-26.88%1.71B
109.75%1.96B
107.38%2.08B
134.78%2.60B
518.47%2.34B
212.04%933.00M
236.58%1.00B
96.63%1.11B
-96.64%379.00M
-97.39%299.00M
-97.49%298.00M
-95.28%563.00M
-4.67%11.27B
2.77%11.45B
4.92%11.89B
1221.84%11.92B
1281.31%11.82B
1226.07%11.14B
591.28%11.33B
-46.72%902.00M
-49.32%856.00M
11.70%840.00M
1522.77%1.64B
1372.17%1.69B
1508.57%1.69B
675.26%752.00M
5.21%101.00M
21.05%115.00M
10.53%105.00M
18.29%97.00M
12.94%96.00M
9.20%95.00M
--95.00M
--82.00M
--85.00M
--87.00M
Gesamt langfristige Verbindlichkeiten
-12.50%74.45B
-14.40%74.66B
95.98%81.27B
97.04%83.09B
101.85%85.08B
106.76%87.22B
-4.64%41.47B
-3.60%42.17B
-3.87%42.15B
-4.06%42.18B
-1.89%43.49B
-2.87%43.75B
-2.89%43.85B
-5.04%43.97B
-2.98%44.33B
-8.16%45.04B
-11.48%45.15B
-5.30%46.30B
28.15%45.69B
22.65%49.04B
26.75%51.01B
20.63%48.90B
68.74%35.65B
92.84%39.98B
93.98%40.24B
72.55%40.54B
-26.39%21.13B
-17.13%20.73B
-18.50%20.75B
-7.82%23.49B
14.76%28.70B
2.04%25.02B
-2.08%25.45B
431.60%25.48B
434.22%25.01B
415.67%24.52B
367.10%25.99B
-22.98%4.79B
-24.87%4.68B
-23.60%4.75B
5409.90%5.57B
5265.52%6.22B
5779.25%6.23B
6251.02%6.22B
3.06%101.00M
19.59%116.00M
9.28%106.00M
16.67%98.00M
11.36%98.00M
7.78%97.00M
--97.00M
--84.00M
--88.00M
--90.00M
Gesamtverbindlichkeiten
-9.70%95.04B
-11.17%95.57B
100.45%97.97B
106.63%102.31B
111.94%105.25B
116.62%107.59B
-3.30%48.87B
-1.85%49.52B
-2.16%49.66B
-1.17%49.67B
-0.13%50.54B
-2.11%50.45B
-1.61%50.76B
-5.18%50.26B
-2.79%50.61B
-7.54%51.54B
-10.45%51.59B
-6.43%53.00B
22.34%52.06B
15.49%55.74B
18.18%57.61B
15.86%56.64B
81.33%42.55B
110.58%48.26B
113.14%48.74B
91.99%48.89B
-24.86%23.47B
-15.85%22.92B
-16.86%22.87B
-7.77%25.46B
11.19%31.23B
-0.04%27.24B
-3.98%27.51B
388.10%27.61B
384.23%28.09B
377.45%27.25B
342.67%28.64B
-19.99%5.66B
-19.96%5.80B
-20.34%5.71B
1151.64%6.47B
1372.71%7.07B
1270.13%7.25B
1398.74%7.16B
20.79%517.00M
28.34%480.00M
19.41%529.00M
12.21%478.00M
-3.60%428.00M
-7.43%374.00M
--443.00M
--426.00M
--444.00M
--404.00M
Eigenkapital der Aktionäre
Stammkapital
-4.39%66.69B
-4.60%66.85B
219.78%67.47B
222.78%67.32B
234.93%69.75B
231.82%70.08B
-0.28%21.10B
-0.64%20.86B
-1.20%20.83B
-8.51%21.12B
-13.03%21.16B
-13.00%20.99B
-12.34%21.08B
-4.14%23.08B
1.45%24.33B
1.85%24.13B
-0.12%24.05B
-1.71%24.08B
-4.38%23.98B
9.57%23.69B
8.01%24.07B
6.15%24.50B
7.71%25.08B
-7.18%21.62B
-8.30%22.29B
10.69%23.08B
13.56%23.29B
15.42%23.29B
22.33%24.30B
6.91%20.85B
6.57%20.50B
6.63%20.18B
6.48%19.87B
622.64%19.50B
655.44%19.24B
687.60%18.93B
704.61%18.66B
26.65%2.70B
26.78%2.55B
28.16%2.40B
36.89%2.32B
31.38%2.13B
26.59%2.01B
21.91%1.88B
11.59%1.69B
8.64%1.62B
7.30%1.59B
5.63%1.54B
5.27%1.52B
5.44%1.49B
--1.48B
--1.46B
--1.44B
--1.42B
Vorzugsaktien
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--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
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Gewinnrücklagen
--2.69B
--2.73B
-100.00%0.00
-259.17%-1.88B
-100.00%0.00
-100.00%0.00
67.21%2.68B
--1.18B
--1.36B
--2.37B
114.44%1.60B
-100.00%0.00
--0.00
--0.00
--748.00M
--320.00M
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-94.95%259.00M
2803.10%3.49B
1841.63%4.27B
2629.90%7.87B
1622.85%5.13B
40.00%-129.00M
-139.58%-245.00M
-127.87%-311.00M
-113.51%-337.00M
-109.60%-215.00M
-67.88%619.00M
-37.69%1.12B
61.38%2.50B
74.45%2.24B
56.67%1.93B
22.09%1.79B
12.27%1.55B
-1.61%1.28B
3.36%1.23B
33.36%1.47B
33.17%1.38B
37.22%1.30B
43.20%1.19B
52.14%1.10B
66.51%1.03B
--951.00M
--831.00M
--723.00M
--621.00M
Kapitalrücklagen
-4.39%66.69B
-4.61%66.85B
219.76%67.47B
222.77%67.31B
234.94%69.75B
231.82%70.08B
-0.28%21.10B
-0.64%20.86B
-1.20%20.83B
-8.51%21.12B
-13.03%21.16B
-13.00%20.99B
-12.34%21.08B
-4.14%23.08B
1.45%24.33B
1.85%24.13B
-0.12%24.05B
-1.71%24.08B
-4.38%23.98B
9.57%23.69B
8.01%24.07B
6.15%24.50B
--25.08B
-7.18%21.62B
-8.30%22.29B
--23.08B
----
--23.29B
--24.30B
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Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-0.48%206.00M
0.00%207.00M
0.00%207.00M
352.17%208.00M
213.74%207.00M
215.00%207.00M
483.33%207.00M
140.35%46.00M
-58.26%-182.00M
-56.52%-180.00M
53.45%-54.00M
-7.55%-114.00M
-8.49%-115.00M
-7.48%-115.00M
-7.41%-116.00M
19.08%-106.00M
19.08%-106.00M
18.94%-107.00M
22.86%-108.00M
-12.93%-131.00M
-12.93%-131.00M
-13.79%-132.00M
-21.74%-140.00M
-9.43%-116.00M
-9.43%-116.00M
-41.46%-116.00M
-26.37%-115.00M
20.30%-106.00M
20.30%-106.00M
38.81%-82.00M
32.09%-91.00M
-84.72%-133.00M
-82.19%-133.00M
-83.56%-134.00M
-83.56%-134.00M
-46.94%-72.00M
-48.98%-73.00M
-48.98%-73.00M
-46.00%-73.00M
-600.00%-49.00M
-600.00%-49.00M
-600.00%-49.00M
-733.33%-50.00M
-250.00%-7.00M
0.00%-7.00M
22.22%-7.00M
45.45%-6.00M
-200.00%-2.00M
-450.00%-7.00M
-400.00%-9.00M
---11.00M
--2.00M
--2.00M
--3.00M
Nicht beherrschende Anteile
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-100.00%0.00
-100.00%0.00
-100.00%0.00
6.82%3.18B
-2.78%2.90B
-4.26%2.90B
-4.64%2.92B
--2.98B
--2.98B
--3.03B
--3.06B
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Gesamtes Eigenkapital
-0.54%69.59B
-0.70%69.79B
182.13%67.68B
197.35%65.65B
217.90%69.96B
201.52%70.28B
5.63%23.99B
5.76%22.08B
4.98%22.01B
1.49%23.31B
-9.03%22.71B
-14.23%20.88B
-12.43%20.96B
-4.19%22.97B
4.56%24.96B
3.32%24.34B
-0.01%23.94B
-1.62%23.97B
-4.28%23.87B
9.55%23.56B
7.98%23.94B
4.93%24.37B
-6.44%24.94B
-21.67%21.50B
-30.86%22.17B
-20.14%23.22B
14.97%26.66B
20.91%27.45B
43.52%32.07B
32.13%29.08B
5.99%23.19B
0.89%22.70B
-1.84%22.34B
329.80%22.01B
364.06%21.88B
425.67%22.50B
460.50%22.76B
41.15%5.12B
45.36%4.71B
38.19%4.28B
28.76%4.06B
21.26%3.63B
12.37%3.24B
13.65%3.10B
20.80%3.15B
18.82%2.99B
19.31%2.89B
19.09%2.73B
20.49%2.61B
23.43%2.52B
--2.42B
--2.29B
--2.17B
--2.04B
Währungseinheit
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Prüfungsmeinungen
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