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Banco Bbva Argentina SA

BBAR

15.820USD

+0.590+3.87%
Trading geöffnet ETKurse um 15 Minuten verzögert
3.23BMarktkapitalisierung
9.07KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
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FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-91.56%68.07M
511.10%1.72B
83.22%545.30M
13.38%507.71M
26.51%806.32M
32.02%281.16M
651.04%297.61M
412.12%447.81M
-28.53%637.38M
-54.90%212.97M
-124.75%-54.01M
-117.73%-143.47M
209.38%891.85M
19.66%472.25M
128.21%218.18M
346.69%809.00M
-79.67%288.27M
220.56%394.66M
-558.25%-773.45M
-620.29%-327.94M
173.92%1.42B
-172.55%-327.36M
-200.18%-117.50M
62.03%-45.53M
--517.69M
153.81%451.21M
129.30%117.30M
47.30%-119.90M
-363.54%-838.54M
-206.99%-400.34M
4.43%-227.50M
-36.64%936.74M
535.99%318.18M
41.43%374.19M
-404.27%-238.04M
2900.84%1.48B
-73.32%50.03M
-3.46%264.57M
123.55%78.23M
-93.96%49.27M
159.74%187.52M
28.86%274.05M
-301.83%-332.24M
52.39%816.04M
-33.55%72.19M
1141.51%212.67M
-185.24%-82.68M
--535.48M
--108.64M
--17.13M
--97.00M
Nettoergebnis aus fortgeführten Aktivitäten
-89.53%43.45M
22.62%163.61M
-7.90%213.70M
-39.00%69.65M
119.26%414.97M
12.92%133.43M
189.62%232.03M
110.69%114.19M
6.11%189.26M
-0.42%118.16M
-2.48%80.12M
21.99%54.20M
163.72%178.37M
0.90%118.66M
-44.37%82.15M
-46.05%44.43M
457.36%67.63M
-45.32%117.61M
-43.64%147.67M
-62.35%82.36M
-116.31%-18.93M
64.05%215.08M
102.89%261.98M
92.72%218.78M
--116.03M
--131.11M
--129.13M
--113.52M
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Betriebsergebnisse und -verluste
-12.28%29.32M
-1.66%21.48M
24.57%22.43M
-16.14%12.33M
21.01%33.42M
3.40%21.84M
5.70%18.00M
-4.28%14.70M
-29.56%27.62M
-32.58%21.12M
-28.50%17.03M
-18.15%15.36M
52.60%39.21M
51.22%31.33M
15.24%23.82M
-1.86%18.77M
-39.60%25.69M
-14.51%20.72M
18.93%20.67M
-39.43%19.12M
531.94%42.54M
251.49%24.23M
95.57%17.38M
211.46%31.57M
--6.73M
--6.89M
--8.89M
--10.14M
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Andere nicht monetäre Posten
120.69%400.50M
-12.68%404.01M
81.80%652.86M
243.63%925.13M
-27.92%181.47M
25.70%462.66M
6.97%359.11M
42.61%269.22M
-50.95%251.77M
-32.56%368.08M
76.98%335.70M
131.30%188.78M
157.88%513.30M
2408.20%545.76M
956.73%189.69M
460.32%81.62M
20.67%199.04M
93.33%-23.64M
-93.61%17.95M
-119.60%-22.65M
8.79%164.95M
35.28%-354.53M
186.79%281.08M
84.11%-10.32M
--151.62M
---547.81M
---323.85M
---64.93M
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Veränderung des Umlaufvermögens
-599.94%-478.17M
390.33%1.11B
60.68%-142.25M
-6633.95%-530.68M
-20.29%95.65M
-16.95%-380.83M
28.08%-361.75M
102.05%8.12M
-3.36%119.99M
-18.86%-325.64M
-354.21%-503.00M
-159.07%-396.52M
1812.94%124.16M
-186.13%-273.96M
86.46%-110.74M
254.03%671.30M
-100.63%-7.25M
193.59%318.09M
-13.30%-818.04M
-107.74%-435.83M
417.43%1.15B
-140.63%-339.87M
-357.80%-722.02M
-7.87%-209.80M
--222.31M
--836.54M
--280.07M
---194.49M
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-Änderung bei anderen kurzfristigen Vermögenswerten
97.70%-74.90M
142.17%467.62M
352.81%1.62B
-105.60%-1.26B
-1089.75%-3.25B
-4076.33%-1.11B
-88.79%-640.87M
-191.77%-612.07M
140.14%328.58M
106.93%27.88M
74.40%-339.46M
112.90%666.97M
-9.29%-818.57M
-1258.05%-402.24M
-135.16%-1.33B
174.89%313.28M
-347.79%-749.00M
131.91%34.73M
-191.46%-563.93M
0.52%-418.32M
298.28%302.27M
33.64%-108.84M
1560.14%616.57M
-43.49%-420.49M
---152.45M
---164.01M
--37.14M
---293.05M
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
-89.14%252.21M
-33.14%-764.55M
-126.02%-1.51B
-927.77%-63.45M
334.12%2.32B
21.97%-574.27M
15.33%-669.57M
100.48%7.67M
-5045.11%-991.79M
-244.30%-736.00M
-76.88%-790.80M
-783.24%-1.59B
7.24%20.06M
-84.47%-213.76M
31.77%-447.08M
310.39%232.56M
-95.90%18.70M
-186.97%-115.88M
51.11%-655.27M
79.37%-110.53M
52.12%456.25M
170.68%133.24M
-2405.96%-1.34B
-500.09%-535.66M
--299.92M
---188.52M
---53.49M
--133.89M
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-91.56%68.07M
511.10%1.72B
83.22%545.30M
13.38%507.71M
26.51%806.32M
32.02%281.16M
651.04%297.61M
412.12%447.81M
-28.53%637.38M
-54.90%212.97M
-124.75%-54.01M
-117.73%-143.47M
209.38%891.85M
19.66%472.25M
128.21%218.18M
346.69%809.00M
-79.67%288.27M
220.56%394.66M
-558.25%-773.45M
-620.29%-327.94M
173.92%1.42B
-172.55%-327.36M
-200.18%-117.50M
62.03%-45.53M
--517.69M
153.81%451.21M
129.30%117.30M
47.30%-119.90M
-363.54%-838.54M
-206.99%-400.34M
4.43%-227.50M
-36.64%936.74M
535.99%318.18M
41.43%374.19M
-404.27%-238.04M
2900.84%1.48B
-73.32%50.03M
-3.46%264.57M
123.55%78.23M
-93.96%49.27M
159.74%187.52M
28.86%274.05M
-301.83%-332.24M
52.39%816.04M
-33.55%72.19M
1141.51%212.67M
-185.24%-82.68M
--535.48M
--108.64M
--17.13M
--97.00M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
90.72%130.83M
-161.81%-13.11M
88.44%24.81M
199.36%29.03M
-9.47%68.60M
817.87%21.21M
-42.49%13.16M
-8.35%9.70M
-25.43%75.78M
-91.29%2.31M
19.87%22.89M
-14.79%10.58M
337.51%101.62M
62.35%26.53M
92.87%19.10M
41.45%12.42M
-16.70%23.23M
7.73%16.34M
-3.96%9.90M
-71.89%8.78M
-37.10%27.88M
145.23%15.17M
-25.70%10.31M
96.71%31.23M
--44.33M
-427.94%-33.53M
23.36%13.88M
65.70%15.88M
15.66%10.23M
85.20%11.25M
253.46%9.58M
-10.08%10.51M
67.30%8.84M
-34.88%6.07M
-26.26%2.71M
-32.83%11.69M
-36.82%5.28M
-5.93%9.33M
796.55%3.68M
-1.83%17.40M
26.58%8.36M
40.28%9.92M
-52.56%409.97K
27.58%17.72M
-22.42%6.61M
-21.32%7.07M
119.45%864.24K
--13.89M
--8.52M
--8.98M
---4.44M
Investitionsausgaben
90.72%130.83M
----
88.44%24.81M
199.36%29.03M
-9.47%68.60M
817.87%21.21M
-42.49%13.16M
-8.35%9.70M
-25.43%75.78M
-91.29%2.31M
19.87%22.89M
-14.79%10.58M
337.51%101.62M
62.35%26.53M
92.87%19.10M
41.45%12.42M
-16.70%23.23M
7.73%16.34M
-3.96%9.90M
-71.89%8.78M
-37.23%27.88M
--15.17M
-25.70%10.31M
96.71%31.23M
--44.43M
----
23.36%13.88M
65.70%15.88M
15.66%10.23M
85.20%11.25M
253.46%9.58M
-10.08%10.51M
67.30%8.84M
-34.88%6.07M
-26.26%2.71M
-32.83%11.69M
-36.82%5.28M
-5.93%9.33M
796.55%3.68M
-1.83%17.40M
26.58%8.36M
40.28%9.92M
-52.56%409.97K
27.58%17.72M
-22.42%6.61M
-21.32%7.07M
--864.24K
--13.89M
--8.52M
--8.98M
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Netto-Cashflow aus Geschäftstransaktionen
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41.01%-1.17M
--8.37M
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---1.98M
--0.00
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--0.00
---3.55M
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--0.00
--0.00
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--0.00
--0.00
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Netto-Cashflow aus Anlageprodukten
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--5.83M
--4.32M
--3.29M
--68.99M
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-100.00%0.00
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--99.27K
--3.40M
Netto-Cashflow aus anderen Investitionstätigkeiten
70.32%-522.61K
-617.15%-370.22K
106.14%3.39M
100.00%0.00
97.45%-1.76M
-101.12%-51.62K
651.35%1.64M
-49.77%-2.22M
-9663.12%-68.98M
-13.48%4.62M
-115.12%-298.24K
-130.53%-1.48M
57.01%-706.50K
344.63%5.34M
-69.83%1.97M
9.50%4.86M
-625.98%-1.64M
418.83%1.20M
88.98%6.54M
--4.44M
-84.73%312.43K
209.80%231.39K
-74.95%3.46M
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--2.05M
100.24%74.69K
202.52%13.81M
100.04%7.95K
-54.42%-30.66M
11.18%-13.47M
30.04%-21.42M
15.42%-67.87M
31.07%-19.86M
71.65%-15.17M
-152.52%-30.62M
-124.74%-80.24M
29.07%-28.80M
-141.81%-53.50M
73.75%-12.12M
-34.73%-35.70M
53.65%-40.61M
49.63%-22.13M
-55.96%-46.19M
36.46%-26.50M
-1414.83%-87.61M
-120.96%-43.93M
-186.14%-29.62M
---41.71M
---5.78M
---19.88M
---10.35M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-86.69%-131.36M
159.92%12.74M
-85.91%-21.42M
-143.52%-29.03M
51.39%-70.36M
-1021.40%-21.26M
50.32%-11.52M
1.20%-11.92M
-41.46%-144.76M
110.89%2.31M
-35.41%-23.19M
-59.74%-12.06M
-311.44%-102.33M
-39.97%-21.19M
-409.03%-17.12M
-74.16%-7.55M
-8.55%-24.87M
-572.06%-15.14M
5.48%-3.36M
-111.48%-4.34M
48.24%-22.91M
-106.70%-2.25M
-5395.04%-3.56M
338.01%37.77M
---44.26M
182.20%33.61M
99.74%-64.77K
48.81%-15.87M
-26.78%-40.89M
-16.38%-24.72M
6.99%-31.00M
14.74%-78.38M
5.39%-32.25M
66.19%-21.24M
-110.93%-33.33M
-73.11%-91.93M
30.39%-34.09M
-96.09%-62.83M
66.10%-15.80M
-20.08%-53.10M
48.02%-48.97M
37.17%-32.04M
-52.88%-46.60M
20.46%-44.22M
-558.79%-94.21M
-77.28%-51.00M
-1113.89%-30.48M
---55.60M
---14.30M
---28.77M
---2.51M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
653.29%74.83M
330.49%122.67M
-603.17%-42.80M
-7.16%-33.40M
-426.87%-13.52M
28.67%-53.22M
-81.42%8.51M
-76.63%-31.16M
133.74%4.14M
-224.00%-74.61M
194.56%45.78M
36.20%-17.64M
17.70%-12.26M
59.11%-23.03M
8.26%-48.41M
8.52%-27.66M
-183.24%-14.90M
22.07%-56.32M
43.72%-52.77M
-158.68%-30.23M
306.96%17.90M
-242.89%-72.27M
-157.48%-93.75M
4132.65%51.52M
---8.65M
-84.93%50.58M
64.41%163.11M
99.09%-1.28M
1449.07%335.63M
196.36%99.21M
-77.84%-140.05M
304.33%101.24M
-368.04%-24.88M
23.28%-102.96M
-144.95%-78.75M
164.53%25.04M
428.99%9.28M
-38.39%-134.20M
-184.14%-32.15M
-146.52%-38.80M
84.99%-2.82M
-92.94%-96.97M
145.93%38.21M
15477.77%83.40M
71.38%-18.79M
8.75%-50.26M
-205.15%-83.20M
---542.35K
---65.66M
---55.08M
---27.27M
Netto-Cashflow aus Schuldenemission/Rückzahlung
708.91%80.88M
349.41%127.50M
-45.47%1.79M
6.01%-29.83M
-996.26%-13.28M
32.24%-51.12M
-92.82%3.28M
-79.87%-31.74M
-96.00%1.48M
-227.62%-75.44M
194.41%45.70M
36.20%-17.64M
348.51%37.03M
43.73%-23.03M
9.65%-48.41M
41.99%-27.66M
-140.39%-14.90M
38.66%-40.93M
-394.37%-53.58M
-192.54%-47.68M
-2.55%36.89M
-125.24%-66.72M
-138.11%-10.84M
557.54%51.52M
--37.86M
-245.19%-29.62M
3141.57%28.44M
65.86%-11.26M
-71.34%20.40M
96.47%-935.08K
32.02%-32.98M
-106.05%-5.25M
46.56%71.19M
-727.44%-26.52M
-185.43%-48.52M
3876.94%86.82M
42.74%48.57M
-71.42%-3.21M
-141.55%-17.00M
-101.65%-2.30M
1406.01%34.03M
-103.91%-1.87M
185.57%40.91M
1698.67%138.98M
106.61%2.26M
26.31%47.88M
-333.69%-47.81M
---8.69M
---34.19M
--37.91M
--20.46M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
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---15.39M
--816.80K
--17.45M
----
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--5.91M
----
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--384.43M
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Barausschüttungen
1701.18%6.74M
12983.60%37.22M
55493.76%55.22M
----
--374.21K
--284.48K
--99.33K
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--18.99M
--5.55M
99.74%82.91M
----
--0.00
-100.00%0.00
--41.51M
----
-20.37%52.80M
-100.00%0.00
-100.00%0.00
--0.00
--66.31M
--26.45M
--6.81M
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--0.00
--3.47M
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Netto-Cashflow aus anderen Finanzierungsaktivitäten
418.15%688.53K
1882.59%32.39M
99.60%10.63M
-724.57%-3.57M
-95.00%132.88K
-318.17%-1.82M
7323.81%5.33M
--571.33K
105.39%2.66M
--832.83K
--71.73K
----
---49.29M
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---52.41M
589.21%80.20M
75.92%176.18M
109.32%9.98M
44.90%-16.39M
300.37%100.15M
-357.10%-107.07M
272.38%106.50M
24.28%-29.75M
61.85%-49.98M
-54.60%-23.42M
-69.25%-61.78M
-17.72%-39.29M
-37.74%-130.99M
-461.86%-15.15M
34.32%-36.50M
-58.56%-33.38M
3.10%-95.10M
92.38%-2.70M
-781.82%-55.57M
33.11%-21.05M
-5.54%-98.14M
25.84%-35.39M
--8.15M
---31.47M
---92.99M
---47.72M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
653.29%74.83M
330.49%122.67M
-603.17%-42.80M
-7.16%-33.40M
-426.87%-13.52M
28.67%-53.22M
-81.42%8.51M
-76.63%-31.16M
133.74%4.14M
-224.00%-74.61M
194.56%45.78M
36.20%-17.64M
17.70%-12.26M
59.11%-23.03M
8.26%-48.41M
8.52%-27.66M
-183.24%-14.90M
22.07%-56.32M
43.72%-52.77M
-158.68%-30.23M
306.96%17.90M
-242.89%-72.27M
-157.48%-93.75M
4132.65%51.52M
---8.65M
-84.93%50.58M
64.41%163.11M
99.09%-1.28M
1449.07%335.63M
196.36%99.21M
-77.84%-140.05M
304.33%101.24M
-368.04%-24.88M
23.28%-102.96M
-144.95%-78.75M
164.53%25.04M
428.99%9.28M
-38.39%-134.20M
-184.14%-32.15M
-146.52%-38.80M
84.99%-2.82M
-92.94%-96.97M
145.93%38.21M
15477.77%83.40M
71.38%-18.79M
8.75%-50.26M
-205.15%-83.20M
---542.35K
---65.66M
---55.08M
---27.27M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
215.24%3.12B
5.91%1.76B
-2.29%1.75B
17.09%2.02B
-34.32%988.43M
-2.62%1.66B
-7.62%1.79B
-24.41%1.73B
-63.81%1.50B
-57.34%1.70B
-46.93%1.94B
-21.20%2.28B
50.19%4.16B
56.85%3.99B
9.18%3.65B
-22.59%2.90B
10.60%2.77B
2.37%2.54B
-12.85%3.35B
-1.44%3.74B
7.15%2.50B
88.11%2.48B
200.45%3.84B
99.71%3.80B
--2.34B
-39.10%1.32B
-50.19%1.28B
-41.30%1.90B
23.82%2.17B
65.29%2.57B
67.18%3.24B
78.70%1.94B
19.42%1.75B
6.87%1.55B
31.87%1.94B
-30.32%1.09B
1.44%1.47B
7.16%1.45B
-13.60%1.47B
20.70%1.56B
-3.97%1.45B
-9.48%1.36B
-3.79%1.70B
-5.91%1.29B
6.86%1.51B
-2.58%1.50B
16.02%1.77B
--1.37B
--1.41B
--1.54B
--1.52B
Änderungen des Cashflows im aktuellen Zeitraum
-150.01%-385.90M
531.24%1.41B
-6.64%-162.74M
-887.64%-551.80M
312.40%771.68M
6.79%-326.59M
68.73%-152.60M
113.69%70.06M
1225.56%187.12M
-3.52%-350.39M
-87.16%-488.01M
-221.86%-511.85M
58.62%-16.62M
-366.30%-338.48M
73.47%-260.75M
182.41%420.02M
-103.78%-40.18M
144.42%127.10M
-29.64%-982.95M
-97.08%-509.68M
251.14%1.06B
-127.34%-286.14M
-200.69%-758.19M
-285.25%-258.61M
--302.30M
292.45%1.05B
331.09%753.01M
83.16%-67.13M
-308.30%-543.79M
-230.34%-325.85M
-13.83%-398.55M
-17.08%1.17B
934.99%261.06M
270.13%249.99M
-1256.15%-350.12M
3411.00%1.41B
-81.42%25.22M
-53.43%67.54M
108.89%30.28M
-104.99%-42.63M
432.58%135.73M
30.17%145.03M
-73.48%-340.63M
78.41%855.22M
-242.27%-40.81M
267.00%111.41M
-392.12%-196.36M
--479.34M
--28.69M
---66.71M
--67.22M
Auswirkungen von Wechselkursänderungen
-104.58%-50.43M
-147.52%-97.28M
-704.47%-227.25M
-596.64%-238.53M
1023.39%1.10B
960.18%204.71M
137.24%37.59M
1122.83%48.03M
150.95%98.13M
91.38%-23.80M
-11353.42%-100.94M
-71.06%3.93M
-510.83%-192.58M
-631.09%-276.15M
-96.72%896.99K
-87.00%13.57M
333.49%46.88M
-89.44%52.00M
116.70%27.33M
-10.08%104.36M
87.64%-20.08M
-3.64%492.53M
-134.63%-163.70M
65.98%116.06M
---162.48M
--511.13M
--472.67M
--69.92M
----
----
----
--210.85M
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--10.78K
----
----
--0.00
--0.00
Endbestand an Zahlungsmitteln
93.93%2.74B
128.49%3.12B
-3.73%1.59B
-17.08%1.48B
-15.67%1.41B
-0.96%1.37B
11.72%1.65B
-0.13%1.79B
-59.53%1.68B
-62.27%1.38B
-56.43%1.48B
-45.69%1.79B
51.69%4.14B
37.18%3.66B
41.37%3.40B
1.39%3.30B
-23.16%2.73B
19.26%2.67B
-21.37%2.40B
-8.67%3.26B
34.90%3.55B
4.99%2.24B
61.93%3.06B
94.17%3.56B
--2.63B
30.92%2.13B
-16.39%1.89B
-35.20%1.84B
-18.91%1.63B
26.23%2.26B
77.66%2.83B
40.55%3.08B
34.47%2.01B
17.76%1.79B
6.37%1.59B
44.57%2.19B
-5.57%1.49B
1.33%1.52B
8.78%1.50B
-27.35%1.52B
7.70%1.58B
-6.64%1.50B
-12.52%1.38B
13.39%2.09B
2.03%1.47B
9.11%1.61B
-0.92%1.58B
--1.84B
--1.44B
--1.47B
--1.59B
Freier Cashflow
-108.51%-62.76M
----
82.98%520.49M
9.26%478.68M
31.36%737.72M
23.40%259.95M
469.89%284.45M
384.39%438.11M
-28.93%561.61M
-52.74%210.66M
-138.63%-76.90M
-119.34%-154.05M
198.15%790.22M
17.81%445.72M
125.41%199.09M
336.57%796.58M
-80.93%265.04M
210.45%378.33M
-512.90%-783.36M
-338.69%-336.72M
193.74%1.39B
-175.91%-342.53M
-223.59%-127.81M
43.47%-76.76M
--473.27M
153.16%451.21M
125.13%103.42M
42.73%-135.78M
-374.38%-848.76M
-211.81%-411.59M
1.52%-237.08M
-36.85%926.23M
591.34%309.34M
44.22%368.12M
-422.90%-240.75M
4502.62%1.47B
-75.02%44.75M
-3.37%255.24M
122.41%74.56M
-96.01%31.87M
173.16%179.16M
28.47%264.13M
-298.17%-332.65M
53.05%798.31M
-34.50%65.59M
2423.83%205.60M
---83.55M
--521.59M
--100.13M
--8.15M
----
Währungseinheit
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