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Banco Bilbao Vizcaya Argentaria SA

BBVA

14.855USD

+0.125+0.85%
Handelsschluss 07/22, 16:00ETKurse um 15 Minuten verzögert
85.44BMarktkapitalisierung
7.84KGV TTM

Banco Bilbao Vizcaya Argentaria SA

14.855

+0.125+0.85%
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2024Q4
FY2024Q3
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FY2023Q1
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FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
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FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-159.90%-7.15B
466.23%17.15B
-137.23%-28.96B
-105.24%-208.49M
335.87%11.93B
-156.69%-4.68B
-167.70%-12.21B
-0.36%3.98B
---5.06B
--8.26B
1191.60%18.03B
136.95%4.00B
---1.65B
---10.81B
98.14%5.93B
866.64%8.20B
-71.66%2.99B
-86.80%848.15M
39.96%-4.73B
-840.05%-11.26B
95.63%10.56B
148.29%6.42B
-245.99%-7.88B
121.60%1.52B
-35.99%5.40B
-45.43%2.59B
276.70%5.39B
-132.59%-7.04B
-29.50%8.44B
-57.74%4.74B
-157.65%-3.05B
0.63%-3.03B
--11.96B
--11.22B
--5.30B
---3.05B
-60.10%7.22B
11.76%-16.18B
-7.84%18.09B
-148.84%-18.34B
--19.63B
---7.37B
Nettoergebnis aus fortgeführten Aktivitäten
20.27%2.76B
29.02%3.00B
35.60%3.17B
17.15%2.51B
30.53%2.29B
16.38%2.33B
92.43%2.34B
-3.64%2.14B
--1.76B
--2.00B
7.46%1.22B
27.21%2.22B
--1.13B
--1.74B
5029.86%1.70B
9.19%1.70B
-97.62%33.21M
-24.59%1.56B
-10.80%1.71B
-20.46%1.59B
184.05%1.40B
22.68%2.06B
22.37%1.91B
25.65%2.00B
-53.09%491.16M
20.45%1.68B
-7.44%1.56B
47.57%1.59B
-21.29%1.05B
248.47%1.40B
15.72%1.69B
-41.73%1.08B
--1.33B
---939.91M
--1.46B
--1.85B
424.12%1.98B
-50.99%2.12B
-196.71%-609.73M
81.79%4.32B
--630.50M
--2.38B
Betriebsergebnisse und -verluste
15.88%435.12M
-2.19%402.11M
12.68%413.27M
12.01%407.20M
8.93%375.49M
20.72%411.13M
-0.53%366.75M
5.89%363.54M
--344.70M
--340.56M
0.10%368.72M
-7.85%343.30M
--368.36M
--372.53M
-12.95%185.97M
-4.58%427.44M
-38.60%213.64M
29.76%447.97M
25.46%447.15M
18.12%445.19M
-10.49%347.93M
-14.81%345.23M
-9.39%356.42M
-0.01%376.90M
-1.24%388.69M
-2.35%405.23M
0.98%393.35M
-0.66%376.95M
5.73%393.57M
3.63%414.97M
21.46%389.55M
19.36%379.46M
--372.24M
--400.44M
--320.72M
--317.92M
1.28%767.12M
6.96%751.22M
11.57%757.46M
21.70%702.34M
--678.90M
--577.11M
Andere nicht monetäre Posten
29.71%3.61B
3.26%3.33B
24.49%3.57B
40.52%3.85B
3.74%2.79B
10.37%3.23B
-21.87%2.87B
67.00%2.74B
--2.69B
--2.92B
47.29%3.67B
-19.01%1.64B
--2.49B
--2.03B
-52.07%1.77B
24.43%1.97B
77.16%3.70B
-35.87%1.58B
112.03%1.87B
-4.97%2.01B
-21.96%2.09B
-53.26%2.46B
-93.40%883.29M
89.88%2.11B
26.50%2.67B
257.65%5.27B
1348.22%13.39B
-5.55%1.11B
-50.83%2.11B
-79.41%1.47B
-87.77%924.77M
175.73%1.18B
--4.30B
--7.16B
--7.56B
--427.27M
-174.50%-14.82B
177.23%4.64B
134.44%19.90B
-53.22%1.67B
--8.49B
--3.58B
Veränderung des Umlaufvermögens
-246.07%-11.91B
128.68%2.65B
-113.30%-33.79B
-1234.61%-6.67B
195.63%8.15B
-370.61%-9.23B
-212.89%-15.84B
-374.96%-499.73M
---8.53B
--3.41B
378.52%14.03B
101.25%181.75M
---5.04B
---14.59B
2186.69%2.89B
340.83%4.91B
-101.75%-138.37M
-183.96%-2.04B
16.94%-8.14B
-424.28%-15.64B
222.59%7.90B
165.13%2.43B
-3.66%-9.81B
68.63%-2.98B
-53.06%2.45B
-288.71%-3.73B
-74.38%-9.46B
-80.72%-9.51B
-17.50%5.22B
-57.07%1.98B
-51.62%-5.42B
-4.13%-5.26B
--6.33B
--4.60B
---3.58B
---5.05B
1857.36%19.78B
11.04%-22.97B
-110.70%-1.13B
-82.65%-25.82B
--10.51B
---14.14B
-Änderung bei anderen kurzfristigen Vermögenswerten
-134.61%-69.75B
177.90%30.70B
-382.89%-46.86B
78.47%-773.14M
-266.83%-29.73B
-331.50%-39.41B
16.22%16.56B
-75.02%-3.59B
---8.10B
---9.13B
242.58%14.25B
82.95%-2.05B
--4.16B
---12.04B
-494.75%-84.42B
1518.63%92.03B
-14912.19%-14.19B
1196.73%5.69B
-252.29%-5.98B
-132.41%-12.31B
126.94%95.82M
---518.43M
603.68%3.93B
50.35%-5.29B
70.52%-355.71M
----
104.45%558.17M
-33.20%-10.66B
-3141.37%-1.21B
-69.87%2.32B
-198.87%-12.55B
-66.86%-8.01B
---37.22M
--7.70B
---4.20B
---4.80B
-177.05%-1.45B
-354.55%-25.04B
143.11%1.88B
134.14%9.84B
---4.37B
---28.82B
-Änderung bei anderen kurzfristigen Verbindlichkeiten
31.16%52.27B
----
--20.47B
----
--39.85B
----
----
----
----
----
----
----
---5.90B
----
460.80%100.99B
-457.25%-107.15B
473.21%18.01B
-105.82%-19.23B
195.98%19.43B
----
-83.58%3.14B
-257.79%-9.34B
151.81%6.57B
----
--19.13B
41.60%-2.61B
-380.03%-12.67B
----
----
---4.47B
--4.53B
----
----
----
----
----
342.34%27.55B
145.99%13.81B
-127.50%-11.37B
-218.51%-30.03B
--41.34B
--25.34B
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-159.90%-7.15B
466.23%17.15B
-137.23%-28.96B
-105.24%-208.49M
335.87%11.93B
-156.69%-4.68B
-167.70%-12.21B
-0.36%3.98B
---5.06B
--8.26B
1191.60%18.03B
136.95%4.00B
---1.65B
---10.81B
98.14%5.93B
866.64%8.20B
-71.66%2.99B
-86.80%848.15M
39.96%-4.73B
-840.05%-11.26B
95.63%10.56B
148.29%6.42B
-245.99%-7.88B
121.60%1.52B
-35.99%5.40B
-45.43%2.59B
276.70%5.39B
-132.59%-7.04B
-29.50%8.44B
-57.74%4.74B
-157.65%-3.05B
0.63%-3.03B
--11.96B
--11.22B
--5.30B
---3.05B
-60.10%7.22B
11.76%-16.18B
-7.84%18.09B
-148.84%-18.34B
--19.63B
---7.37B
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
91.49%574.83M
-28.21%526.26M
26.27%511.20M
3.55%441.95M
-13.17%300.18M
95.06%733.08M
-77.90%404.84M
660.87%426.81M
--345.72M
--375.82M
1002.72%1.83B
-62.17%56.09M
--166.12M
--148.29M
137.68%168.09M
-74.11%179.85M
5.31%-446.11M
633.64%694.75M
1960.20%842.61M
-32.55%317.99M
-128.57%-471.13M
-118.02%-130.19M
-117.18%-45.30M
361.18%471.43M
-121.26%-206.12M
-7.23%722.37M
-22.92%263.70M
521.23%102.22M
-42.88%969.36M
47.37%778.63M
-35.95%342.13M
-109.20%-24.27M
--1.70B
--528.35M
--534.17M
--263.80M
-8.52%1.99B
12.35%233.04M
0.30%2.18B
-78.93%207.42M
--2.17B
--984.32M
Investitionsausgaben
71.79%685.74M
-28.21%526.26M
26.77%518.74M
3.55%441.95M
15.46%399.16M
95.06%733.08M
-77.66%409.20M
242.73%426.81M
--345.72M
--375.82M
869.27%1.83B
-16.02%124.53M
--189.00M
--148.29M
--833.31M
-74.11%179.85M
----
385.92%694.75M
164.75%842.61M
-32.55%317.99M
-94.54%25.10M
-80.21%142.98M
20.69%318.27M
361.18%471.43M
-52.61%459.36M
-7.23%722.37M
-22.92%263.70M
62.58%102.22M
-42.88%969.36M
47.37%778.63M
-35.95%342.13M
-76.17%62.88M
--1.70B
--528.35M
--534.17M
--263.80M
-2.67%2.12B
57.29%326.26M
0.30%2.18B
-78.93%207.42M
--2.17B
--984.32M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
441.87%262.35M
-45.28%314.22M
38.14%291.66M
6.97%305.13M
-69.57%48.42M
166.34%574.28M
-87.15%211.13M
516.82%285.25M
--159.09M
--215.62M
9850.50%1.64B
-1235.30%-68.44M
---16.85M
--6.03M
105.84%23.84M
-90.02%46.72M
17.68%-408.47M
271.32%467.98M
339.35%650.50M
-48.48%105.62M
-13.87%-496.23M
-150.45%-273.17M
-318.90%-271.78M
250.07%205.02M
-162.86%-435.80M
-1.14%541.48M
-38.23%124.16M
167.20%58.57M
-54.21%693.33M
118.85%547.72M
-50.21%200.99M
-139.04%-87.14M
--1.51B
--250.27M
--403.67M
--223.22M
-5.55%1.58B
282.88%30.16M
14.64%1.67B
-98.87%7.88M
--1.46B
--699.01M
Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
24.11%312.47M
33.53%212.04M
13.34%219.55M
-3.34%136.82M
34.90%251.76M
-0.88%158.80M
2.70%193.72M
13.67%141.55M
--186.63M
--160.20M
3.09%188.62M
-12.46%124.53M
--182.98M
--142.26M
483.27%144.25M
-41.29%133.14M
-249.97%-37.64M
58.60%226.76M
-15.17%192.12M
-20.28%212.37M
-89.07%25.10M
-20.96%142.98M
62.31%226.48M
510.22%266.41M
-16.79%229.68M
-21.66%180.89M
-1.13%139.54M
-30.57%43.66M
50.97%276.04M
-16.96%230.91M
8.15%141.14M
54.92%62.88M
--182.84M
--278.08M
--130.50M
--40.58M
-18.39%409.90M
1.67%202.88M
-29.20%502.29M
-30.06%199.54M
--709.47M
--285.31M
Netto-Cashflow aus Geschäftstransaktionen
---5.33M
---9.89M
---15.07M
----
----
----
----
----
--0.00
--0.00
---1.48B
----
----
----
----
----
----
----
----
100.00%0.00
----
966.72%2.23B
-1.71%-17.88M
99.32%-6.14M
----
---257.23M
73.61%-17.58M
-4442.31%-901.90M
96.26%-19.41M
100.00%0.00
94.88%-66.62M
85.91%-19.86M
---518.95M
---2.07B
---1.30B
---140.92M
--0.00
--13.71M
--0.00
-100.00%0.00
----
--3.89M
Netto-Cashflow aus Anlageprodukten
-22.26%329.54M
--46.14M
36.70%151.75M
-30.85%30.40M
--423.91M
--0.00
-36.48%111.01M
-27.43%43.97M
----
----
-98.49%174.77M
-75.25%60.58M
--11.59B
--244.73M
--703.37M
----
----
----
105.74%402.21M
-100.00%0.00
18.94%2.30B
809.20%2.17B
-93.40%195.49M
-90.29%68.75M
333.77%1.94B
69.64%238.44M
298.37%2.96B
1545.97%708.10M
-71.59%446.40M
9.88%140.55M
-777.11%-1.49B
-70.42%43.02M
--1.57B
--127.92M
---170.32M
--145.43M
2799.77%506.28M
-92.31%224.82M
-99.02%17.46M
182.50%2.92B
--1.79B
--1.03B
Netto-Cashflow aus anderen Investitionstätigkeiten
----
-161.49%-15.38M
-50.55%1.08M
---1.09M
-140.58%-177.53M
139.41%25.02M
100.38%2.18M
----
--437.50M
---63.48M
95.81%-578.66M
---1.12M
---13.81B
--0.00
-108.77%-134.71M
93.53%-25.69M
5.72%1.54B
-34239.41%-396.84M
100.00%0.00
-64.71%84.04M
--1.45B
-99.63%1.16M
83.46%-227.68M
-62.53%238.17M
----
45.05%317.14M
-459.30%-1.38B
267.06%635.70M
432.45%2.18B
-77.17%218.64M
-225.75%-246.15M
--173.18M
---655.81M
--957.71M
--195.75M
----
----
----
436.85%3.44B
----
---1.02B
----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-48.11%-274.08M
28.29%-481.22M
-26.84%-380.98M
-6.98%-406.12M
-688.96%-185.06M
-89.76%-671.08M
92.04%-300.37M
-11379.21%-379.62M
---23.46M
---353.65M
-55.22%-3.77B
-97.03%3.37M
---2.43B
--113.33M
-76.64%277.77M
62.30%-158.83M
-71.88%1.19B
-109.30%-421.29M
-227.63%-492.09M
-14.74%-181.71M
97.32%4.23B
1168.04%4.53B
-111.72%-150.20M
-153.50%-158.37M
30.81%2.14B
-1.09%-424.02M
159.62%1.28B
34.18%296.02M
225.93%1.64B
72.19%-419.43M
-18.69%-2.15B
185.08%220.62M
---1.30B
---1.51B
---1.81B
---259.29M
-216.08%-1.48B
-99.80%5.48M
191.09%1.28B
4886.69%2.72B
---1.40B
--54.47M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
23.53%-1.21B
781.55%644.92M
-2066.63%-3.40B
357.44%1.24B
-83.47%-1.58B
95.77%-94.63M
105.14%173.04M
68.19%-480.42M
---859.70M
---2.23B
-79.21%-3.36B
-9.20%-1.51B
---1.88B
---1.38B
82.27%-221.74M
61.81%1.23B
-28.40%-1.25B
125.82%761.44M
-47.77%-2.93B
1038.28%403.17M
-239.71%-974.20M
-619.82%-2.95B
-569.42%-1.99B
95.53%-42.97M
200.26%697.28M
197.62%567.32M
-152.86%-296.66M
-96.32%-961.53M
26.98%-695.48M
-139.68%-581.18M
-11.91%561.18M
-167.99%-489.77M
---952.51M
---242.49M
--637.02M
--720.38M
133.46%657.90M
1901.41%3.63B
-82.46%-1.97B
105.28%181.17M
---1.08B
---3.43B
Netto-Cashflow aus Schuldenemission/Rückzahlung
0.63%640.95M
--743.80M
-112.93%-355.15M
1845.38%2.13B
932.76%636.94M
----
496.55%2.75B
-36.21%-122.25M
---76.49M
---1.46B
45.87%-692.68M
92.31%-89.75M
---1.28B
---1.17B
-77.99%-470.90M
2539.45%1.44B
-203.54%-264.57M
101.79%54.47M
-172.41%-1.54B
-5.25%574.66M
-83.64%255.53M
---3.04B
---565.02M
--606.47M
--1.56B
----
----
----
-100.00%0.00
--0.00
-46.96%1.13B
----
--1.27B
----
--2.13B
--622.30M
-234.96%-445.88M
2009.32%4.02B
154.38%330.38M
108.84%190.36M
---607.57M
---2.15B
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
104.02%43.73M
100.00%0.00
19.86%-184.03M
-205.07%-765.54M
-5433.08%-1.09B
-4096.95%-34.97B
76.76%-229.63M
77.22%-250.94M
--20.40M
---833.26M
-16312.70%-987.87M
-3484.54%-1.10B
---6.02M
--32.55M
130.77%17.88M
-119.70%-52.55M
107.81%7.75M
659.78%266.78M
1372.38%60.67M
246.02%182.84M
-251.09%-99.25M
---47.66M
---4.77M
---125.22M
-101.29%-28.27M
----
----
----
--2.19B
----
--105.01M
----
----
----
----
----
571.96%1.56B
-1483.20%-2.06B
-54.28%232.34M
21.71%-129.97M
--508.22M
---166.00M
Barausschüttungen
73.85%1.78B
--0.00
19.55%2.42B
----
38.96%1.02B
--0.00
29.63%2.02B
----
--736.30M
--0.00
229.55%1.56B
--0.00
--473.09M
--0.00
-100.00%0.00
-100.00%0.00
-23.84%860.11M
--108.94M
-2.04%1.31B
-16.67%123.79M
35.05%1.13B
----
385.60%1.33B
-77.82%148.55M
361.65%836.27M
-81.46%128.03M
8.60%274.69M
3.26%669.77M
-72.10%181.15M
--690.50M
42.05%252.93M
360.27%648.62M
--649.24M
--0.00
--178.06M
--140.92M
8.12%926.46M
-82.79%143.94M
3.81%856.84M
3.84%836.25M
--825.38M
--805.35M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-8.41%-111.98M
-100.28%-98.88M
-38.51%-447.71M
-22.52%-131.39M
-53.46%-103.29M
55730.44%34.88B
-161.47%-323.22M
66.34%-107.24M
---67.31M
--62.47M
-4.79%-123.62M
-28.29%-318.62M
---117.97M
---248.35M
272.67%231.28M
-127.86%-152.99M
-11641.62%-133.94M
287.22%549.13M
-81.67%-149.42M
38.63%-230.54M
---1.14M
-79.61%141.81M
-274.29%-82.25M
-20.00%-375.67M
100.00%0.00
536.07%695.35M
94.77%-21.98M
-951.11%-313.06M
-71.87%-2.70B
135.74%109.32M
68.03%-420.04M
79.52%-29.78M
---1.57B
---305.89M
---1.31B
---145.43M
92.47%-125.93M
43.59%-294.73M
-993.93%-1.67B
-70.00%-522.49M
---152.85M
---307.36M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
23.53%-1.21B
781.55%644.92M
-2066.63%-3.40B
357.44%1.24B
-83.47%-1.58B
95.77%-94.63M
105.14%173.04M
68.19%-480.42M
---859.70M
---2.23B
-79.21%-3.36B
-9.20%-1.51B
---1.88B
---1.38B
82.27%-221.74M
61.81%1.23B
-28.40%-1.25B
125.82%761.44M
-47.77%-2.93B
1038.28%403.17M
-239.71%-974.20M
-619.82%-2.95B
-569.42%-1.99B
95.53%-42.97M
200.26%697.28M
197.62%567.32M
-152.86%-296.66M
-96.32%-961.53M
26.98%-695.48M
-139.68%-581.18M
-11.91%561.18M
-167.99%-489.77M
---952.51M
---242.49M
--637.02M
--720.38M
133.46%657.90M
1901.41%3.63B
-82.46%-1.97B
105.28%181.17M
---1.08B
---3.43B
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-17.79%60.66B
-33.96%50.16B
-9.76%81.98B
-5.84%81.40B
-21.72%73.79B
-4.90%75.95B
22.18%90.85B
15.23%86.45B
--94.26B
--79.87B
-6.82%74.35B
-16.81%75.02B
--79.79B
--90.17B
92.09%88.14B
58.94%77.19B
0.92%45.88B
15.45%48.57B
8.33%57.90B
8.21%60.73B
-7.41%45.47B
2.57%42.07B
23.93%53.44B
17.23%56.12B
24.95%49.11B
3.53%41.01B
-1.18%43.12B
-3.20%47.87B
0.19%39.30B
27.15%39.61B
55.99%43.64B
46.65%49.46B
--39.23B
--31.15B
--27.97B
--33.72B
-4.27%30.22B
3.50%47.76B
6.46%31.57B
22.23%46.15B
--29.65B
--37.76B
Änderungen des Cashflows im aktuellen Zeitraum
-186.22%-7.94B
373.53%14.87B
-172.75%-33.87B
-68.05%1.20B
208.51%9.21B
-182.14%-5.44B
-210.22%-12.42B
7.01%3.77B
---8.48B
--6.62B
266.50%11.27B
130.47%3.52B
---6.77B
---11.55B
50.70%5.62B
282.05%7.35B
-77.47%3.73B
-187.64%-4.04B
36.89%-7.15B
-3528.89%-8.25B
205.03%16.57B
201.07%4.61B
-352.36%-11.33B
103.14%240.62M
-33.46%5.43B
-35.80%1.53B
198.15%4.49B
-66.95%-7.67B
1.52%8.16B
-74.01%2.38B
-250.27%-4.58B
35.37%-4.60B
--8.04B
--9.17B
--3.04B
---7.11B
-48.23%8.29B
17.31%-13.58B
-3.33%16.01B
-72.18%-16.42B
--16.56B
---9.54B
Auswirkungen von Wechselkursänderungen
171.67%687.87M
-20513.81%-2.44B
-1245.95%-1.13B
-9.86%580.94M
62.28%-959.71M
-98.74%11.96M
-122.47%-83.80M
-37.42%644.50M
---2.54B
--946.10M
146.18%372.98M
92.84%1.03B
---807.74M
--534.08M
-145.43%-363.60M
63.27%-1.92B
-70.90%800.34M
-53.88%-5.23B
175.96%1.00B
358.05%2.78B
197.95%2.75B
-182.95%-3.40B
30.07%-1.32B
-3080.69%-1.08B
-131.07%-2.81B
11.58%-1.20B
-2984.02%-1.89B
102.79%36.20M
27.26%-1.22B
-357.11%-1.36B
106.07%65.49M
71.30%-1.30B
---1.67B
---296.99M
---1.08B
---4.52B
236.18%1.90B
-4.98%-1.03B
-137.18%-1.39B
-181.13%-980.66M
---587.19M
--1.21B
Endbestand an Zahlungsmitteln
-36.38%52.95B
-7.70%65.23B
-38.43%48.27B
-8.49%82.59B
-2.49%83.23B
-18.12%70.67B
-8.24%78.40B
14.98%90.25B
--85.36B
--86.31B
16.83%85.44B
-0.57%78.49B
--73.13B
--78.94B
89.08%93.90B
89.59%84.57B
-20.06%49.66B
-4.41%44.61B
19.66%50.66B
-6.72%52.58B
13.70%62.12B
9.68%46.67B
-11.41%42.34B
40.20%56.36B
15.61%54.64B
1.28%42.55B
22.11%47.79B
-10.10%40.20B
0.12%47.26B
4.07%42.01B
26.09%39.14B
65.88%44.72B
--47.20B
--40.37B
--31.04B
--26.96B
-20.71%38.02B
14.48%34.20B
2.45%47.95B
5.02%29.88B
--46.81B
--28.45B
Freier Cashflow
-167.92%-7.83B
406.93%16.62B
-133.65%-29.48B
-118.30%-650.44M
313.39%11.53B
-168.69%-5.42B
-177.89%-12.62B
-8.18%3.55B
---5.40B
--7.88B
979.99%16.20B
135.32%3.87B
---1.84B
---10.96B
70.30%5.10B
5127.28%8.02B
-71.59%2.99B
-97.56%153.40M
32.01%-5.57B
-1202.72%-11.57B
113.31%10.54B
236.78%6.28B
-259.69%-8.19B
114.69%1.05B
-33.83%4.94B
-52.94%1.87B
251.12%5.13B
-131.16%-7.14B
-27.29%7.47B
-62.93%3.96B
-171.30%-3.40B
6.65%-3.09B
--10.27B
--10.69B
--4.76B
---3.31B
-67.95%5.10B
10.99%-16.51B
-8.85%15.91B
-122.00%-18.55B
--17.46B
---8.35B
Währungseinheit
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