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Banco Macro SA

BMA

69.094USD

+1.384+2.04%
Trading geöffnet ETKurse um 15 Minuten verzögert
4.34BMarktkapitalisierung
984.80KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
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Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-1335.77%-409.23M
-48.43%-508.05M
680.66%2.02B
2479.05%657.42M
-96.51%33.12M
-134.06%-342.29M
-125.35%-347.97M
-103.47%-27.63M
33.99%949.30M
593.23%1.00B
114.96%1.37B
16195.65%795.95M
460.66%708.47M
-66.73%144.95M
-5.44%638.60M
-100.50%-4.95M
-74.12%126.36M
419.06%435.73M
151.42%675.32M
34.25%985.88M
-69.01%488.34M
-115.25%-136.56M
-537.38%-1.31B
-28.83%734.36M
1225.79%1.58B
419.62%895.50M
363.49%300.27M
86.75%1.03B
109.37%118.87M
175.69%172.34M
-118.75%-113.96M
235.77%552.52M
-241.94%-1.27B
-130.39%-227.69M
697.53%607.79M
-179.14%-406.96M
417.84%893.71M
42.76%749.20M
-63.88%76.21M
-304.50%-145.79M
7.81%-281.18M
15.55%524.81M
13.98%210.98M
118.52%71.29M
-692.31%-305.00M
-11.68%454.20M
284.51%185.10M
4.78%-384.90M
-93.27%51.49M
--514.26M
--48.14M
---404.20M
--764.86M
Nettoergebnis aus fortgeführten Aktivitäten
-82.62%76.05M
-89.99%166.26M
-10.83%136.66M
-217.37%-340.63M
446.88%437.52M
881.83%1.66B
3.81%153.25M
353.75%290.22M
12.25%80.00M
-16.31%169.12M
-19.95%147.63M
-44.86%63.96M
-9.88%71.27M
56.66%202.07M
-9.93%184.42M
-46.91%116.00M
-68.13%79.08M
-53.53%128.99M
9.20%204.75M
19.50%218.50M
0.62%248.15M
36.42%277.58M
7.70%187.50M
-2.97%182.84M
-6.69%246.62M
-16.16%203.48M
-29.72%174.10M
-13.92%188.44M
32.73%264.30M
--242.69M
--247.71M
--218.92M
--199.13M
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Betriebsergebnisse und -verluste
20.82%35.19M
-39.84%45.02M
-1.10%39.74M
12.10%35.60M
14.17%29.13M
116.40%74.83M
22.74%40.18M
23.71%31.76M
23.86%25.52M
-32.20%34.58M
-21.79%32.74M
-10.66%25.67M
-8.90%20.60M
90.54%51.00M
70.16%41.86M
28.09%28.73M
16.37%22.61M
16.00%26.77M
14.13%24.60M
12.69%22.43M
-1.78%19.43M
299.03%23.08M
268.37%21.55M
169.72%19.91M
138.49%19.78M
-43.52%5.78M
-30.39%5.85M
-12.01%7.38M
-0.09%8.30M
--10.24M
--8.41M
--8.39M
--8.30M
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Andere nicht monetäre Posten
-63.48%128.75M
-61.91%206.55M
-97.88%22.44M
-69.06%272.24M
-47.66%352.59M
-17.21%542.31M
47.25%1.06B
103.62%879.92M
99.19%673.64M
1.40%655.09M
36.77%719.40M
-1.48%432.14M
-11.28%338.19M
86.99%646.05M
110.52%526.00M
214.96%438.63M
134.70%381.17M
26.32%345.50M
34.69%249.86M
-70.91%139.26M
-52.02%162.41M
275.59%273.51M
189.16%185.51M
561.79%478.74M
1037.36%338.47M
152.53%72.82M
-661.03%-208.06M
-298.12%-103.67M
-147.37%-36.11M
---138.62M
---27.34M
--52.33M
---14.60M
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Veränderung des Umlaufvermögens
12.24%-708.52M
64.49%-944.80M
215.34%1.86B
176.49%932.92M
-578.74%-807.33M
-2049.76%-2.66B
-448.70%-1.61B
-546.62%-1.22B
-37.94%168.64M
118.58%136.45M
792.15%462.10M
153.82%273.10M
183.20%271.71M
-925.11%-734.49M
-133.14%-66.76M
-184.58%-507.40M
-536.58%-326.59M
89.71%-71.65M
112.13%201.43M
363.89%599.93M
-92.37%74.81M
-211.02%-696.38M
-576.18%-1.66B
-87.89%129.32M
1046.37%979.86M
615.71%627.27M
209.33%348.79M
188.55%1.07B
92.85%-103.54M
--87.64M
---319.01M
--370.03M
---1.45B
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-Änderung bei anderen kurzfristigen Vermögenswerten
-6.25%264.14M
-52.79%125.32M
-2196.31%-4.87B
54.40%-107.66M
-55.54%281.76M
757.53%265.46M
16.96%232.31M
-150.65%-236.10M
433.77%633.69M
87.17%-40.37M
142.21%198.63M
819.50%466.17M
-842.05%-189.86M
-123.62%-314.68M
68.82%-470.63M
-123.42%-64.79M
102.86%25.59M
1277.44%1.33B
-479.65%-1.51B
2091.76%276.60M
-4290.23%-896.08M
320.23%96.72M
-57.46%-260.39M
-71.40%12.62M
-104.77%-20.41M
-78.22%23.02M
21.31%-165.37M
116.64%44.12M
168.58%427.70M
--105.69M
---210.15M
--20.36M
---623.68M
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
45.04%-112.31M
-96.24%-650.69M
961.50%786.28M
-4.15%200.71M
-168.38%-204.33M
-279.00%-331.59M
289.08%74.07M
1581.43%209.41M
66.02%-76.14M
-35.73%185.24M
-291.54%-39.18M
104.27%12.45M
-64.57%-224.03M
-15.16%288.21M
152.04%20.45M
-341.25%-291.41M
-74.00%-136.13M
377.98%339.70M
-3675.42%-39.30M
215.82%120.79M
-207.97%-78.24M
-31.44%71.07M
-100.99%-1.04M
-166.01%-104.29M
74.80%-25.40M
-72.15%103.67M
214.61%104.93M
66.69%158.00M
-1025.42%-100.83M
--372.27M
--33.35M
--94.79M
--10.90M
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-1335.77%-409.23M
-48.43%-508.05M
680.66%2.02B
2479.05%657.42M
-96.51%33.12M
-134.06%-342.29M
-125.35%-347.97M
-103.47%-27.63M
33.99%949.30M
593.23%1.00B
114.96%1.37B
16195.65%795.95M
460.66%708.47M
-66.73%144.95M
-5.44%638.60M
-100.50%-4.95M
-74.12%126.36M
419.06%435.73M
151.42%675.32M
34.25%985.88M
-69.01%488.34M
-115.25%-136.56M
-537.38%-1.31B
-28.83%734.36M
1225.79%1.58B
419.62%895.50M
363.49%300.27M
86.75%1.03B
109.37%118.87M
175.69%172.34M
-118.75%-113.96M
235.77%552.52M
-241.94%-1.27B
-130.39%-227.69M
697.53%607.79M
-179.14%-406.96M
417.84%893.71M
42.76%749.20M
-63.88%76.21M
-304.50%-145.79M
7.81%-281.18M
15.55%524.81M
13.98%210.98M
118.52%71.29M
-692.31%-305.00M
-11.68%454.20M
284.51%185.10M
4.78%-384.90M
-93.27%51.49M
--514.26M
--48.14M
---404.20M
--764.86M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
47.16%34.44M
-49.80%38.20M
7.52%38.81M
18.29%34.29M
-13.96%23.40M
72.57%76.10M
-53.31%36.09M
-34.19%28.98M
89.04%27.20M
21.61%44.10M
61.20%77.30M
32.28%44.04M
-36.52%14.39M
56.33%36.26M
122.41%47.96M
129.28%33.29M
22.28%22.67M
-23.36%23.20M
-37.39%21.56M
-46.28%14.52M
-22.19%18.54M
66.14%30.27M
72.68%34.44M
37.59%27.03M
132.90%23.82M
-40.19%18.22M
-56.36%19.94M
4.38%19.64M
-48.09%10.23M
256.07%30.46M
598.25%45.70M
165.71%18.82M
305.66%19.71M
24.47%8.55M
-16.84%6.55M
-51.38%7.08M
-61.43%4.86M
-6.84%6.87M
2.30%7.87M
517.23%14.57M
-17.52%12.59M
-14.82%7.38M
-5.00%7.69M
-69.84%2.36M
110.87%15.27M
54.09%8.66M
-6.33%8.10M
4.40%7.82M
-14.09%7.24M
--5.62M
--8.64M
--7.50M
--8.43M
Investitionsausgaben
47.16%34.44M
-49.80%38.20M
7.52%38.81M
18.29%34.29M
-13.96%23.40M
72.57%76.10M
-53.31%36.09M
-34.19%28.98M
89.04%27.20M
21.61%44.10M
61.20%77.30M
32.28%44.04M
-36.52%14.39M
56.33%36.26M
122.41%47.96M
129.28%33.29M
22.28%22.67M
-23.36%23.20M
-37.39%21.56M
-46.28%14.52M
-22.19%18.54M
66.14%30.27M
72.68%34.44M
37.59%27.03M
132.90%23.82M
-40.19%18.22M
-56.36%19.94M
4.38%19.64M
-48.09%10.23M
256.07%30.46M
598.25%45.70M
165.71%18.82M
305.66%19.71M
24.47%8.55M
-16.84%6.55M
-51.38%7.08M
-61.43%4.86M
-6.84%6.87M
2.30%7.87M
517.23%14.57M
-17.52%12.59M
-14.82%7.38M
-5.00%7.69M
-69.84%2.36M
110.87%15.27M
54.09%8.66M
-6.33%8.10M
4.40%7.82M
-14.09%7.24M
--5.62M
--8.64M
--7.50M
--8.43M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
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24.47%8.55M
-16.84%6.55M
-51.38%7.08M
-61.43%4.86M
-6.84%6.87M
2.30%7.87M
517.23%14.57M
-17.52%12.59M
-14.82%7.38M
-5.00%7.69M
-69.84%2.36M
110.87%15.27M
54.09%8.66M
-6.33%8.10M
4.40%7.82M
-14.09%7.24M
--5.62M
--8.64M
--7.50M
--8.43M
Netto-Cashflow aus Geschäftstransaktionen
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82.68%-8.53M
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---49.27M
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---691.86K
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Netto-Cashflow aus Anlageprodukten
----
-100.01%-48.15K
---68.93K
---94.54K
---540.59K
10281866.63%359.86M
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---3.50K
---24.05K
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--0.00
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Netto-Cashflow aus anderen Investitionstätigkeiten
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40.76%-9.32M
16.89%-13.39M
41.17%-11.78M
11.44%-11.56M
10.69%-15.74M
-43.80%-16.12M
-62.40%-20.03M
-138.49%-13.06M
-244.08%-17.62M
-124.63%-11.21M
-91.38%-12.34M
-243.68%-5.48M
-2.51%-5.12M
-343.29%-4.99M
-75.45%-6.45M
71.61%-1.59M
---5.00M
---1.13M
---3.67M
---5.61M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-43.83%-34.44M
-119.95%-46.79M
-7.71%-38.88M
-18.62%-34.38M
11.97%-23.94M
631.65%234.48M
53.32%-36.09M
34.19%-28.98M
-89.04%-27.20M
-19.34%-44.10M
-61.25%-77.33M
-32.28%-44.04M
36.52%-14.39M
-59.31%-36.96M
-122.41%-47.96M
-129.28%-33.29M
-22.28%-22.67M
23.36%-23.20M
37.39%-21.56M
46.28%-14.52M
22.19%-18.54M
-66.14%-30.27M
-72.68%-34.44M
-37.59%-27.03M
-132.90%-23.82M
40.19%-18.22M
56.36%-19.94M
-4.38%-19.64M
48.09%-10.23M
-70.40%-30.46M
-129.21%-45.70M
0.25%-18.82M
-19.99%-19.71M
20.93%-17.88M
16.87%-19.94M
45.47%-18.87M
35.98%-16.42M
9.55%-22.61M
-26.91%-23.99M
-135.45%-34.60M
-23.65%-25.65M
-81.37%-25.00M
-44.42%-18.90M
-2.98%-14.70M
-134.82%-20.75M
-29.82%-13.78M
-33.94%-13.09M
-27.77%-14.27M
37.08%-8.83M
---10.62M
---9.77M
---11.17M
---14.04M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
96.53%-417.75K
-862.20%-110.78M
-8517.38%-193.77M
-973.57%-326.64M
-292.14%-12.05M
124.39%14.53M
95.34%-2.25M
64.91%-30.43M
-52.76%6.27M
-1.71%-59.60M
-65.40%-48.22M
-3.63%-86.71M
449.82%13.27M
-58.69%-58.60M
-27.66%-29.16M
-89.98%-83.67M
91.55%-3.79M
62.15%-36.93M
30.39%-22.84M
85.17%-44.04M
-30.04%-44.93M
-42.99%-97.56M
79.78%-32.81M
-899.30%-297.05M
-29.58%-34.55M
-40.29%-68.23M
-236.78%-162.27M
-103.17%-29.73M
76.36%-26.66M
-120.69%-48.63M
345.77%118.63M
7404.26%936.43M
-346.16%-112.81M
1902.77%235.10M
-1210.86%-48.27M
-5707.79%-12.82M
-144.78%-25.28M
40.67%-13.04M
96.42%-3.68M
-96.08%228.62K
-31.55%-10.33M
-154.83%-21.98M
-558.72%-102.81M
121.94%5.84M
57.72%-7.85M
485.41%40.09M
-174.37%-15.61M
43.98%-26.60M
-153.75%-18.57M
---10.40M
--20.99M
---47.48M
---7.32M
Netto-Cashflow aus Schuldenemission/Rückzahlung
121.64%2.19M
-491.34%-73.72M
-913.03%-3.72M
-33.48%-35.22M
-219.53%-10.11M
199.77%18.84M
110.61%457.53K
-13.19%-26.38M
-41.54%8.46M
65.07%-18.88M
79.33%-4.31M
72.01%-23.31M
1225.19%14.47M
-59.82%-54.06M
-3.93%-20.87M
-100.06%-83.27M
96.92%-1.29M
-66.93%-33.83M
-7.86%-20.08M
58.76%-41.62M
-689.02%-41.70M
1.52%-20.26M
56.72%-18.61M
-188.96%-100.91M
126.55%7.08M
57.69%-20.58M
-741.86%-43.01M
-66.79%113.43M
76.34%-26.66M
-120.80%-48.63M
231.70%6.70M
5575.23%341.52M
-1104.59%-112.71M
1911.77%233.79M
-43.75%-5.09M
-1733.54%-6.24M
8.09%-9.36M
40.92%-12.90M
88.40%-3.54M
-93.58%381.85K
-31.35%-10.18M
-154.28%-21.84M
-97.53%-30.51M
120.38%5.95M
58.07%-7.75M
490.39%40.24M
-173.23%-15.44M
38.34%-29.21M
-159.93%-18.48M
---10.31M
--21.09M
---47.38M
---7.11M
Barausschüttungen
----
23332.32%34.74M
155638.46%186.89M
87749.70%289.67M
--132.40K
-99.61%148.24K
-99.71%120.00K
-99.47%329.73K
----
--38.38M
--41.32M
--61.87M
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-100.00%713.09
-100.00%505.82
-100.00%7.57K
----
241037.04%19.89M
1807118.01%14.74M
53.86%220.25M
----
--8.25K
-99.97%815.60
182.93%143.15M
----
--0.00
-92.90%3.06M
682.55%50.60M
----
--0.00
--43.07M
--6.47M
--15.83M
----
----
----
----
--0.00
2120283.13%72.19M
----
----
--0.00
-17.45%3.40K
----
----
--0.00
--4.12K
----
----
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-44.55%-2.61M
44.03%-2.33M
-22.00%-3.16M
52.82%-1.75M
17.68%-1.80M
-77.99%-4.16M
0.28%-2.59M
-142.21%-3.71M
-82.67%-2.19M
48.56%-2.33M
68.72%-2.59M
-275.24%-1.53M
52.20%-1.20M
-46.38%-4.54M
-200.19%-8.29M
83.10%-408.41K
22.29%-2.51M
94.53%-3.10M
-360.08%-2.76M
-109.86%-2.42M
90.32%-3.23M
-344.39%-56.71M
104.92%1.06M
--24.50M
---33.36M
---12.76M
-212.27%-21.58M
----
----
----
17220.37%19.22M
-17857.82%-21.02M
-3.41%-103.94K
1055.72%1.31M
21.47%-112.26K
23.60%-117.07K
32.89%-100.51K
1.86%-137.11K
-20.57%-142.96K
-31.26%-153.23K
-47.08%-149.77K
8.02%-139.72K
26.72%-118.57K
-104.46%-116.74K
-14.40%-101.83K
-62.00%-151.90K
-67.52%-161.81K
2694.20%2.62M
57.25%-89.02K
---93.76K
---96.59K
---100.84K
---208.25K
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
96.53%-417.75K
-862.20%-110.78M
-8517.38%-193.77M
-973.57%-326.64M
-292.14%-12.05M
124.39%14.53M
95.34%-2.25M
64.91%-30.43M
-52.76%6.27M
-1.71%-59.60M
-65.40%-48.22M
-3.63%-86.71M
449.82%13.27M
-58.69%-58.60M
-27.66%-29.16M
-89.98%-83.67M
91.55%-3.79M
62.15%-36.93M
30.39%-22.84M
85.17%-44.04M
-30.04%-44.93M
-42.99%-97.56M
79.78%-32.81M
-899.30%-297.05M
-29.58%-34.55M
-40.29%-68.23M
-236.78%-162.27M
-103.17%-29.73M
76.36%-26.66M
-120.69%-48.63M
345.77%118.63M
7404.26%936.43M
-346.16%-112.81M
1902.77%235.10M
-1210.86%-48.27M
-5707.79%-12.82M
-144.78%-25.28M
40.67%-13.04M
96.42%-3.68M
-96.08%228.62K
-31.55%-10.33M
-154.83%-21.98M
-558.72%-102.81M
121.94%5.84M
57.72%-7.85M
485.41%40.09M
-174.37%-15.61M
43.98%-26.60M
-153.75%-18.57M
---10.40M
--20.99M
---47.48M
---7.32M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
18.36%2.90B
73.56%3.63B
-46.93%2.05B
-54.27%2.09B
-43.96%2.45B
-48.43%2.09B
1.20%3.86B
26.35%4.57B
34.79%4.37B
-38.45%4.05B
-33.85%3.81B
-32.41%3.62B
-35.45%3.24B
38.51%6.59B
27.70%5.77B
41.70%5.35B
42.23%5.02B
20.23%4.76B
-7.61%4.52B
-41.05%3.77B
-29.47%3.53B
43.04%3.96B
128.00%4.89B
214.95%6.40B
144.28%5.01B
-3.80%2.77B
-31.00%2.14B
11.94%2.03B
-39.53%2.05B
17.02%2.87B
59.78%3.11B
-23.53%1.82B
119.52%3.39B
117.20%2.46B
29.19%1.94B
38.06%2.38B
-25.21%1.54B
-31.12%1.13B
-3.07%1.51B
13.30%1.72B
22.19%2.06B
7.02%1.64B
1.99%1.55B
-24.44%1.52B
-17.85%1.69B
-5.63%1.53B
-5.41%1.52B
-3.98%2.01B
45.80%2.06B
--1.63B
--1.61B
--2.09B
--1.41B
Änderungen des Cashflows im aktuellen Zeitraum
16.99%-581.87M
-27.50%-875.22M
207.20%1.63B
72.99%-251.18M
-415.58%-700.93M
-433.83%-686.44M
-412.63%-1.52B
-764.28%-929.80M
-23.03%222.11M
128.40%205.62M
753.10%485.30M
121.34%139.97M
185.39%288.57M
-2813.89%-723.96M
-119.51%-74.31M
-180.16%-656.02M
-248.87%-337.93M
95.93%-24.85M
126.37%380.79M
550.58%818.40M
-79.77%227.00M
-185.07%-609.96M
-396.24%-1.44B
-114.27%-181.63M
625.32%1.12B
463.42%717.01M
3358.57%487.54M
-15.18%1.27B
111.06%154.73M
126.19%127.26M
-102.45%-14.96M
464.59%1.50B
-254.63%-1.40B
-92.91%56.26M
1150.41%610.34M
-150.68%-411.53M
408.72%904.58M
61.93%793.23M
-56.70%48.81M
-277.55%-164.16M
-90.13%-293.01M
-15.42%489.86M
-46.93%112.72M
124.13%92.46M
-361.91%-154.11M
9.68%579.20M
124.87%212.40M
11.23%-383.13M
-92.27%58.84M
--528.07M
--94.46M
---431.61M
--761.47M
Auswirkungen von Wechselkursänderungen
6.53%78.38M
-88.38%161.89M
-83.92%86.92M
-79.63%69.07M
-65.97%73.57M
335.32%1.39B
67.49%540.71M
99.24%339.07M
114.73%216.17M
99.40%320.13M
157.97%322.84M
94.45%170.18M
-45.39%100.67M
-14.09%160.55M
-24.33%125.15M
-41.04%87.52M
61.90%184.33M
13.56%186.88M
-75.56%165.38M
3634.58%148.45M
-46.47%113.86M
278.80%164.56M
83.15%676.72M
-98.63%3.98M
192.33%212.68M
-370.54%-92.04M
1317.48%369.48M
859.33%290.24M
3015.17%72.75M
-49.02%34.02M
-63.16%26.07M
11.56%30.25M
-95.56%2.34M
-16.25%66.74M
26053.81%70.76M
69.54%27.12M
117.63%52.57M
562.46%79.68M
-98.85%270.56K
-46.74%16.00M
-86.54%24.16M
-87.81%12.03M
-58.12%23.45M
-29.56%30.03M
416.47%179.49M
183.38%98.70M
59.54%56.00M
36.50%42.64M
93.38%34.75M
--34.83M
--35.10M
--31.24M
--17.97M
Endbestand an Zahlungsmitteln
31.66%2.33B
62.34%2.78B
44.55%3.63B
-50.54%1.84B
-61.36%1.77B
-59.64%1.71B
-41.09%2.51B
-0.44%3.73B
29.99%4.57B
-27.83%4.24B
-25.17%4.26B
-20.37%3.75B
-25.10%3.52B
24.25%5.88B
16.64%5.69B
3.18%4.71B
25.33%4.70B
41.17%4.73B
34.54%4.88B
-26.64%4.56B
-37.70%3.75B
-3.46%3.35B
43.97%3.63B
102.88%6.22B
173.40%6.01B
15.95%3.47B
-18.49%2.52B
-5.27%3.06B
12.08%2.20B
19.24%2.99B
21.81%3.09B
62.88%3.23B
-19.21%1.96B
43.29%2.51B
63.44%2.54B
27.39%1.99B
36.85%2.43B
-17.72%1.75B
-6.65%1.55B
-3.18%1.56B
15.04%1.78B
2.75%2.13B
-3.68%1.66B
-1.65%1.61B
-26.99%1.54B
-3.19%2.07B
1.47%1.73B
-1.94%1.64B
-2.35%2.11B
--2.14B
--1.70B
--1.67B
--2.16B
Freier Cashflow
-4668.14%-443.67M
-30.56%-546.26M
615.99%1.98B
1200.61%623.14M
-98.95%9.71M
-143.55%-418.40M
-129.65%-384.07M
-107.53%-56.62M
32.85%922.10M
783.97%960.75M
119.32%1.30B
2066.31%751.91M
569.33%694.08M
-73.65%108.69M
-9.65%590.64M
-103.94%-38.24M
-77.93%103.70M
347.27%412.53M
148.51%653.75M
37.33%971.36M
-69.73%469.80M
-119.02%-166.83M
-580.78%-1.35B
-30.12%707.33M
1328.69%1.55B
518.34%877.28M
275.58%280.33M
89.65%1.01B
108.43%108.64M
160.05%141.88M
-126.56%-159.66M
228.90%533.69M
-244.93%-1.29B
-131.83%-236.25M
779.80%601.24M
-158.20%-414.04M
402.56%888.86M
43.46%742.33M
-66.38%68.34M
-332.64%-160.36M
8.27%-293.78M
16.14%517.44M
14.85%203.29M
117.55%68.93M
-823.74%-320.27M
-12.41%445.53M
348.17%177.00M
4.61%-392.73M
-94.15%44.25M
--508.64M
--39.49M
---411.70M
--756.43M
Währungseinheit
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