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Anheuser-Busch Inbev SA

BUD

61.140USD

-0.250-0.41%
Handelsschluss 08/13, 16:00ETKurse um 15 Minuten verzögert
105.81BMarktkapitalisierung
15.31KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q2
FY2024Q4
FY2024Q2
FY2023Q4
FY2023Q2
FY2022Q4
FY2022Q2
FY2021Q4
FY2021Q2
FY2020Q4
FY2020Q2
FY2019Q4
FY2019Q2
FY2018Q4
FY2018Q2
FY2018H2
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015Q4
FY2015Q2
FY2015H2
FY2015H1
FY2014Q4
FY2014Q2
FY2014H2
FY2014H1
FY2013Q4
FY2013Q2
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-3.56%7.37B
9.58%11.39B
10.26%7.64B
3.27%10.40B
-5.81%6.93B
-19.25%10.07B
4.03%7.36B
-20.30%12.47B
-71.83%7.08B
113.48%15.65B
203.90%25.12B
2.36%7.33B
3.66%8.27B
--7.16B
--7.97B
-39.19%7.16B
-17.29%11.78B
-83.36%10.32B
104.04%14.24B
814.39%62.03B
-19.40%6.98B
-23.30%6.78B
-19.40%6.98B
-23.30%6.78B
-13.09%8.66B
27.82%8.85B
-13.09%8.66B
27.82%8.85B
--9.96B
--6.92B
-28.22%9.96B
82.44%6.92B
--13.88B
--3.79B
- Barmittel und Barmitteläquivalente
0.13%4.64B
1.29%6.21B
-1.42%4.64B
15.94%6.13B
10.11%4.70B
-4.81%5.29B
-0.40%4.27B
-53.45%5.55B
-80.55%4.29B
138.56%11.93B
350.18%22.04B
3.33%5.00B
5.27%4.90B
--4.84B
--4.65B
-26.38%4.84B
22.96%6.58B
55.65%4.45B
117.31%5.35B
200.11%2.86B
-3.60%2.46B
-72.70%952.00M
-3.60%2.46B
-72.70%952.00M
-74.05%2.55B
-47.96%3.49B
-74.05%2.55B
-47.96%3.49B
--9.84B
--6.70B
--9.84B
--6.70B
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-Kurzfristige Anlagen
-9.24%2.73B
21.49%5.18B
34.89%3.01B
-10.75%4.27B
-27.83%2.23B
-30.86%4.78B
10.83%3.09B
86.16%6.92B
-9.45%2.79B
59.58%3.71B
-8.64%3.08B
0.34%2.33B
1.41%3.37B
--2.32B
--3.32B
-55.38%2.32B
-41.51%5.20B
-90.07%5.88B
96.81%8.89B
914.66%59.17B
-26.01%4.52B
8.85%5.83B
-26.01%4.52B
8.85%5.83B
4863.41%6.11B
2346.58%5.36B
4863.41%6.11B
2346.58%5.36B
--123.00M
--219.00M
-99.11%123.00M
-94.23%219.00M
--13.88B
--3.79B
Forderungen
-3.24%7.08B
-12.40%6.00B
-2.73%7.32B
11.44%6.85B
18.01%7.52B
13.19%6.14B
5.86%6.37B
-1.11%5.43B
-1.00%6.02B
-19.46%5.49B
-11.23%6.08B
-0.26%6.81B
-9.69%6.85B
--6.83B
--7.58B
-8.59%6.83B
0.13%7.47B
6.75%8.04B
45.27%7.46B
-1.27%7.53B
-24.53%5.14B
11.22%7.63B
-24.53%5.14B
11.22%7.63B
19.56%6.81B
38.67%6.86B
19.56%6.81B
38.67%6.86B
--5.69B
--4.94B
34.99%5.69B
11.48%4.94B
--4.22B
--4.43B
-Forderungen aus Lieferungen und Leistungen
--4.87B
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-Forderungen aus Darlehen
--45.00M
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-Sonstige Forderungen
-90.75%620.00M
-12.52%5.27B
1.45%6.71B
13.02%6.02B
12.76%6.61B
5.63%5.33B
6.78%5.86B
4.41%5.05B
4.04%5.49B
-21.88%4.83B
-19.40%5.28B
-2.95%6.19B
0.08%6.55B
--6.38B
--6.54B
-2.91%6.38B
3.37%6.57B
-4.87%6.22B
42.71%6.35B
-11.64%6.53B
-30.98%4.45B
14.81%7.39B
-30.98%4.45B
14.81%7.39B
20.27%6.45B
32.83%6.44B
20.27%6.45B
32.83%6.44B
--5.36B
--4.85B
33.28%5.36B
12.45%4.85B
--4.02B
--4.31B
Inventar
-1.65%5.47B
-10.08%5.02B
-18.60%5.57B
-15.56%5.58B
11.99%6.84B
22.47%6.61B
14.04%6.11B
20.46%5.40B
23.42%5.36B
1.24%4.48B
-6.85%4.34B
4.56%4.43B
10.90%4.66B
--4.23B
--4.20B
2.79%4.23B
5.91%4.12B
30.38%4.28B
35.88%3.89B
5.46%3.28B
-3.77%2.86B
-13.39%3.11B
-3.77%2.86B
-13.39%3.11B
0.81%2.97B
11.62%3.59B
0.81%2.97B
11.62%3.59B
--2.95B
--3.22B
18.00%2.95B
22.58%3.22B
--2.50B
--2.63B
Aktive Rechnungsabgrenzungsposten
--787.00M
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Sonstige kurzfristige Vermögenswerte
--1.00M
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-100.00%-2.00M
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-200.00%-1.00M
--1.00M
-50.00%1.00M
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--2.00M
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---1.00M
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---1.00M
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---3.00M
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Summe der kurzfristigen Vermögenswerte
0.90%21.21B
-1.57%23.00B
-2.13%21.03B
0.78%23.37B
3.68%21.48B
-3.19%23.19B
6.25%20.72B
-9.69%23.95B
-46.15%19.50B
-7.96%26.52B
80.57%36.22B
57.62%28.81B
-1.89%20.06B
--18.28B
--20.44B
-23.70%18.28B
-44.30%23.96B
-59.05%30.48B
135.14%43.02B
322.60%74.43B
-1.33%18.29B
-9.25%17.61B
-1.33%18.29B
-9.25%17.61B
-0.80%18.54B
28.33%19.41B
-0.80%18.54B
28.33%19.41B
--18.69B
--15.12B
-9.40%18.69B
39.30%15.12B
--20.63B
--10.86B
Langfristige Vermögenswerte
Nettoanlagevermögen
-4.91%23.85B
-12.36%23.50B
-7.71%25.09B
0.55%26.82B
3.27%27.18B
-0.03%26.67B
-1.12%26.32B
0.98%26.68B
7.69%26.62B
-4.08%26.42B
-10.17%24.72B
-0.26%27.54B
8.12%27.52B
--27.61B
--25.45B
1.59%27.61B
3.68%27.18B
36.58%26.37B
38.34%26.22B
0.07%19.31B
-6.47%18.95B
-10.46%19.30B
-6.47%18.95B
-10.46%19.30B
-3.00%20.26B
5.77%21.55B
-3.00%20.26B
5.77%21.55B
--20.89B
--20.37B
26.90%20.89B
28.48%20.37B
--16.46B
--15.86B
-Anlagevermögen
1.57%56.91B
-6.10%53.76B
-2.07%56.03B
4.67%57.25B
6.75%57.21B
3.27%54.70B
1.56%53.60B
3.40%52.96B
11.60%52.77B
0.86%51.22B
-6.22%47.29B
1.68%50.79B
7.84%50.42B
--49.95B
--46.76B
2.51%49.95B
9.86%48.72B
23.72%46.15B
25.54%44.35B
1.96%37.30B
-5.75%35.33B
-8.45%36.58B
-5.75%35.33B
-8.45%36.58B
-1.63%37.48B
6.95%39.96B
-1.63%37.48B
6.95%39.96B
--38.11B
--37.37B
15.10%38.11B
17.76%37.37B
--33.11B
--31.73B
-Abgegrenzte Abschreibungen
6.83%33.06B
-0.58%30.25B
3.03%30.94B
8.59%30.43B
10.10%30.03B
6.62%28.02B
4.29%27.28B
5.98%26.28B
15.88%26.16B
6.71%24.80B
-1.47%22.57B
4.08%23.24B
7.50%22.91B
--22.33B
--21.31B
3.67%22.33B
18.79%21.54B
9.91%19.77B
10.72%18.13B
4.07%17.99B
-4.91%16.38B
-6.10%17.29B
-4.91%16.38B
-6.10%17.29B
0.02%17.22B
8.35%18.41B
0.02%17.22B
8.35%18.41B
--17.22B
--16.99B
3.43%17.22B
7.04%16.99B
--16.65B
--15.87B
Goodwill und andere immaterielle Vermögenswerte
1.12%155.88B
-4.94%150.51B
-1.90%154.15B
3.34%158.33B
0.85%157.14B
-1.92%153.22B
-2.76%155.81B
-3.86%156.23B
3.29%160.24B
-4.73%162.50B
-13.79%155.13B
-4.25%170.57B
-1.21%179.95B
--178.14B
--182.14B
-4.64%178.14B
3.41%186.81B
97.81%187.61B
90.69%180.65B
-3.22%94.84B
-5.90%94.74B
-7.41%98.00B
-5.90%94.74B
-7.41%98.00B
1.43%100.68B
5.82%105.84B
1.43%100.68B
5.82%105.84B
--99.27B
--100.03B
30.38%99.27B
31.94%100.03B
--76.14B
--75.81B
Langfristige Verbindlichkeiten
--7.00M
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Sonstige langfristige Vermögenswerte
1.69%2.83B
-14.01%2.53B
-2.25%2.78B
27.52%2.95B
27.20%2.85B
17.07%2.31B
6.26%2.24B
-2.57%1.97B
6.85%2.11B
16.91%2.03B
7.17%1.97B
12.97%1.73B
13.65%1.84B
--1.53B
--1.62B
23.91%1.53B
-2.60%1.24B
-92.12%95.00M
7.44%1.27B
-20.08%1.21B
10.77%1.18B
9.51%1.51B
10.77%1.18B
9.51%1.51B
-10.25%1.07B
13.79%1.38B
-10.25%1.07B
13.79%1.38B
--1.19B
--1.21B
45.30%1.19B
32.21%1.21B
--819.00M
--916.00M
Summe der langfristigen Vermögenswerte
0.10%189.89B
-6.29%183.64B
-2.66%189.69B
3.28%195.97B
1.67%194.87B
-2.02%189.76B
-3.18%191.68B
-3.11%193.68B
4.62%197.97B
-3.82%199.89B
-12.91%189.23B
-3.60%207.83B
0.15%217.28B
--215.59B
--216.95B
-2.96%215.59B
4.03%222.17B
89.77%221.46B
83.57%213.57B
-3.35%116.70B
-6.18%116.34B
-7.47%120.74B
-6.18%116.34B
-7.47%120.74B
0.84%124.01B
5.62%130.49B
0.84%124.01B
5.62%130.49B
--122.98B
--123.54B
20.58%122.98B
22.31%123.54B
--101.99B
--101.01B
Summe der Vermögenswerte
0.18%211.11B
-5.79%206.64B
-2.60%210.72B
3.00%219.34B
1.86%216.35B
-2.15%212.94B
-2.33%212.40B
-3.88%217.63B
-3.54%217.47B
-4.33%226.41B
-5.01%225.45B
1.19%236.65B
-0.03%237.34B
--233.87B
--237.40B
-4.98%233.87B
-4.08%246.13B
31.82%251.94B
90.58%256.59B
38.14%191.13B
-5.55%134.63B
-7.70%138.35B
-5.55%134.63B
-7.70%138.35B
0.62%142.55B
8.10%149.90B
0.62%142.55B
8.10%149.90B
--141.67B
--138.66B
15.53%141.67B
23.96%138.66B
--122.62B
--111.86B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
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103.99%767.00M
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5.62%376.00M
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0.28%356.00M
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-16.86%355.00M
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26.33%427.00M
-14.07%342.00M
2.11%338.00M
-31.62%398.00M
--331.00M
--582.00M
-30.90%331.00M
7.16%479.00M
30.23%629.00M
87.03%447.00M
121.56%483.00M
-53.86%239.00M
-13.49%218.00M
-53.86%239.00M
-13.49%218.00M
34.90%518.00M
5.44%252.00M
34.90%518.00M
5.44%252.00M
--384.00M
--239.00M
--384.00M
--239.00M
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-Weitere Verbindlichkeiten
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-2.56%2.77B
-150.00%-1.00M
1.61%2.85B
--2.00M
-7.95%2.80B
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-4.37%3.04B
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0.00%3.18B
-14.71%3.02B
0.76%3.18B
0.26%3.54B
--3.16B
--3.53B
-35.06%3.16B
2.68%4.87B
17.48%4.44B
46.99%4.74B
15.58%3.78B
-29.28%3.22B
43.69%4.47B
-29.28%3.22B
7.43%3.27B
35.85%4.56B
17.91%3.11B
35.85%4.56B
15.36%3.04B
--3.36B
--2.64B
--3.36B
--2.64B
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Rückstellungen
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-8.83%4.18B
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7.00%4.59B
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2.76%4.29B
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21.70%4.17B
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-0.44%3.43B
-0.64%3.27B
-2.52%3.44B
4.67%3.29B
--3.53B
--3.15B
-14.79%3.53B
9.77%4.15B
34.95%3.26B
49.05%3.78B
-3.86%2.42B
-11.98%2.53B
-21.18%2.52B
-11.98%2.53B
-21.18%2.52B
0.59%2.88B
36.43%3.19B
0.59%2.88B
36.43%3.19B
--2.86B
--2.34B
--2.86B
--2.34B
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Kurzfristige Rückstellungen
-14.04%202.00M
-29.00%191.00M
-3.69%235.00M
52.84%269.00M
49.69%244.00M
4.14%176.00M
-15.54%163.00M
-22.83%169.00M
-9.81%193.00M
4.29%219.00M
-55.97%214.00M
-72.58%210.00M
-1.02%486.00M
--766.00M
--491.00M
-13.45%766.00M
-26.19%885.00M
454.69%710.00M
445.00%1.20B
-13.51%128.00M
33.33%220.00M
-20.86%148.00M
33.33%220.00M
-20.86%148.00M
-15.82%165.00M
-23.36%187.00M
-15.82%165.00M
-23.36%187.00M
--196.00M
--244.00M
8.89%196.00M
34.81%244.00M
--180.00M
--181.00M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
59.46%3.60B
-63.81%1.45B
-12.42%2.26B
260.07%4.00B
95.97%2.58B
-23.89%1.11B
1.62%1.31B
-52.66%1.46B
-80.50%1.29B
-43.67%3.09B
-40.04%6.64B
16.60%5.48B
83.08%11.07B
--4.70B
--6.05B
-37.77%4.70B
-14.22%7.55B
50.29%11.48B
48.56%8.80B
2.74%7.64B
-20.92%5.92B
-10.37%7.44B
-20.92%5.92B
-10.37%7.44B
-4.58%7.49B
61.08%8.30B
-4.58%7.49B
61.08%8.30B
--7.85B
--5.15B
45.68%7.85B
-31.96%5.15B
--5.39B
--7.57B
-Kurzfristige Verbindlichkeiten
23.53%21.00M
-100.00%0.00
-67.92%17.00M
-79.52%17.00M
-59.23%53.00M
56.60%83.00M
182.61%130.00M
-96.53%53.00M
-98.57%46.00M
-8.40%1.53B
-0.06%3.23B
32.72%1.67B
72.29%3.23B
--1.26B
--1.87B
-36.79%1.26B
-11.18%1.99B
10.95%2.40B
6.52%2.24B
-0.69%2.16B
-6.75%2.10B
-11.64%2.18B
-6.75%2.10B
-11.64%2.18B
8.74%2.25B
36.85%2.47B
8.74%2.25B
36.85%2.47B
--2.07B
--1.80B
-0.81%2.07B
-20.09%1.80B
--2.09B
--2.25B
-Kurzfristige Leasingverpflichtungen
-8.54%589.00M
-20.91%556.00M
-3.16%644.00M
32.89%703.00M
41.79%665.00M
18.34%529.00M
4.69%469.00M
12.59%447.00M
27.27%448.00M
19.22%397.00M
-6.38%352.00M
-18.78%333.00M
1404.00%376.00M
--410.00M
--25.00M
1418.52%410.00M
3.85%27.00M
766.67%26.00M
550.00%26.00M
-40.00%3.00M
33.33%4.00M
66.67%5.00M
33.33%4.00M
66.67%5.00M
0.00%3.00M
50.00%3.00M
0.00%3.00M
50.00%3.00M
--3.00M
--2.00M
0.00%3.00M
-33.33%2.00M
--3.00M
--3.00M
Aufgeschobene Verbindlichkeiten
----
-84.35%69.00M
----
40.89%441.00M
----
513.73%313.00M
----
88.89%51.00M
----
28.57%27.00M
-42.42%19.00M
-34.38%21.00M
-10.81%33.00M
--32.00M
--37.00M
6.67%32.00M
-42.31%30.00M
88.46%49.00M
6.12%52.00M
-49.02%26.00M
-7.55%49.00M
82.14%51.00M
-7.55%49.00M
82.14%51.00M
39.47%53.00M
-9.68%28.00M
39.47%53.00M
-9.68%28.00M
--38.00M
--31.00M
--38.00M
--31.00M
----
----
Andere kurzfristige Verbindlichkeiten
-13.68%202.00M
-14.70%3.04B
-4.88%234.00M
8.08%3.56B
50.92%246.00M
0.83%3.29B
-15.54%163.00M
-4.81%3.27B
-94.06%193.00M
0.44%3.43B
-19.88%3.25B
-13.72%3.42B
0.00%4.05B
--3.96B
--4.05B
-31.53%3.96B
-3.49%5.78B
32.19%5.20B
71.49%5.99B
13.39%3.93B
-26.88%3.49B
40.39%4.67B
-26.88%3.49B
6.45%3.47B
33.06%4.78B
14.15%3.32B
33.06%4.78B
11.85%3.26B
--3.59B
--2.91B
1894.44%3.59B
1508.29%2.91B
--180.00M
--181.00M
Summe der kurzfristigen Verbindlichkeiten
7.99%33.01B
-14.91%31.62B
-9.50%30.57B
8.07%37.16B
9.33%33.77B
0.58%34.38B
2.73%30.89B
5.66%34.18B
-3.06%30.07B
-7.14%32.35B
-16.78%31.02B
0.04%34.84B
21.61%37.28B
--34.83B
--30.65B
-3.82%34.83B
-10.30%36.21B
4.64%36.99B
41.86%40.37B
36.65%35.35B
4.59%28.46B
-0.97%25.87B
4.59%28.46B
-0.97%25.87B
6.17%27.21B
28.00%26.12B
6.17%27.21B
28.00%26.12B
--25.63B
--20.41B
25.57%25.63B
-0.16%20.41B
--20.41B
--20.44B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
-12.02%1.64B
-15.65%1.68B
-1.48%1.86B
3.26%1.99B
-26.96%1.89B
-28.44%1.93B
-22.14%2.59B
-23.25%2.70B
4.92%3.33B
-0.99%3.51B
-14.21%3.17B
-7.41%3.55B
-13.47%3.69B
--3.83B
--4.27B
-14.97%3.83B
3.37%4.51B
31.78%4.46B
28.19%4.36B
-10.36%3.38B
-7.65%3.40B
23.17%3.77B
-7.65%3.40B
23.17%3.77B
8.54%3.68B
-30.52%3.06B
8.54%3.68B
-30.52%3.06B
--3.39B
--4.41B
-21.58%3.39B
12.85%4.41B
--4.33B
--3.91B
Langfristige Schulden und Leasingverbindlichkeiten
-5.18%70.23B
-4.25%68.97B
-2.91%74.07B
-6.34%72.04B
-4.95%76.29B
-10.08%76.92B
-8.18%80.26B
-8.65%85.54B
-16.23%87.41B
-2.33%93.64B
4.38%104.35B
-9.06%95.87B
-9.76%99.97B
--105.42B
--110.77B
-3.07%105.42B
-4.37%108.76B
7.10%108.09B
161.94%113.73B
129.70%100.92B
-0.19%43.42B
-6.68%43.94B
-0.19%43.42B
-6.68%43.94B
5.73%43.50B
4.48%47.08B
5.73%43.50B
4.48%47.08B
--41.14B
--45.06B
6.00%41.14B
40.20%45.06B
--38.81B
--32.14B
-Langfristige Verbindlichkeiten
-5.18%70.23B
-4.25%68.97B
-2.91%74.07B
-6.34%72.04B
-4.95%76.29B
-10.08%76.92B
-8.18%80.26B
-8.65%85.54B
-16.23%87.41B
-2.33%93.64B
4.38%104.35B
-9.06%95.87B
-9.76%99.97B
--105.42B
--110.77B
-3.07%105.42B
-4.37%108.76B
7.10%108.09B
161.94%113.73B
129.70%100.92B
-0.19%43.42B
-6.68%43.94B
-0.19%43.42B
-6.68%43.94B
5.73%43.50B
4.48%47.08B
5.73%43.50B
4.48%47.08B
--41.14B
--45.06B
6.00%41.14B
40.20%45.06B
--38.81B
--32.14B
Mitarbeitervorteile
-13.91%1.29B
-22.53%1.30B
-1.71%1.50B
9.06%1.67B
-28.99%1.52B
-32.15%1.53B
-25.81%2.14B
-23.87%2.26B
10.61%2.89B
4.28%2.97B
1.40%2.61B
6.23%2.85B
-8.98%2.57B
--2.68B
--2.83B
-10.42%2.68B
-0.70%2.99B
12.99%3.03B
10.61%3.01B
-9.68%2.68B
-10.66%2.73B
18.55%2.96B
-10.66%2.73B
18.55%2.96B
6.57%3.05B
-34.80%2.50B
6.57%3.05B
-34.80%2.50B
--2.86B
--3.84B
-22.38%2.86B
20.74%3.84B
--3.69B
--3.18B
Derivative-Verbindlichkeiten
576.36%372.00M
-54.97%68.00M
-51.33%55.00M
-17.93%151.00M
-57.52%113.00M
84.00%184.00M
-58.37%266.00M
-94.31%100.00M
-74.02%639.00M
399.72%1.76B
300.65%2.46B
-54.05%352.00M
-34.05%614.00M
--766.00M
--931.00M
-18.25%766.00M
98.94%937.00M
43.49%485.00M
49.52%471.00M
174.80%338.00M
392.19%315.00M
7.89%123.00M
392.19%315.00M
7.89%123.00M
--64.00M
--114.00M
--64.00M
--114.00M
----
----
----
----
----
----
Andere langfristige Verbindlichkeiten
-14.87%1.94B
-23.69%2.34B
-8.53%2.27B
-4.96%3.06B
-22.56%2.48B
-26.38%3.22B
-22.15%3.21B
-23.78%4.38B
-23.10%4.12B
-8.48%5.75B
-11.70%5.36B
4.84%6.28B
6.08%6.07B
--5.99B
--5.72B
7.10%5.99B
7.25%5.59B
33.02%5.64B
25.32%5.21B
-3.77%4.24B
-5.15%4.16B
-23.36%4.41B
-5.15%4.16B
-23.36%4.41B
29.20%4.38B
30.45%5.75B
29.20%4.38B
30.45%5.75B
--3.39B
--4.41B
-21.58%3.39B
12.85%4.41B
--4.33B
--3.91B
Gesamt langfristige Verbindlichkeiten
-4.65%86.68B
-5.18%84.87B
-3.07%90.91B
-5.06%89.51B
-5.02%93.80B
-9.43%94.28B
-8.43%98.75B
-10.03%104.10B
-14.47%107.84B
-1.32%115.71B
3.41%126.08B
-7.79%117.25B
-7.05%121.93B
--127.15B
--131.18B
-1.96%127.15B
-3.78%129.69B
11.37%131.47B
122.94%134.79B
93.37%118.05B
-1.02%60.46B
-8.24%61.05B
-1.02%60.46B
-8.24%61.05B
0.58%61.09B
0.35%66.53B
0.58%61.09B
0.35%66.53B
--60.73B
--66.29B
7.00%60.73B
33.37%66.29B
--56.76B
--49.70B
Gesamtverbindlichkeiten
-1.47%119.69B
-8.03%116.49B
-4.77%121.48B
-1.56%126.66B
-1.60%127.57B
-6.96%128.66B
-5.99%129.65B
-6.60%138.29B
-12.21%137.91B
-2.65%148.06B
-1.32%157.10B
-6.10%152.09B
-1.62%159.20B
--161.98B
--161.83B
-2.37%161.98B
-5.28%165.91B
9.82%168.46B
97.00%175.16B
76.49%153.39B
0.71%88.92B
-6.19%86.91B
0.71%88.92B
-6.19%86.91B
2.24%88.29B
6.86%92.64B
2.24%88.29B
6.86%92.64B
--86.36B
--86.70B
11.91%86.36B
23.60%86.70B
--77.17B
--70.14B
Eigenkapital der Aktionäre
Stammkapital
0.00%19.36B
0.00%19.36B
0.00%19.36B
0.00%19.36B
0.00%19.36B
-12.56%19.36B
-12.00%19.36B
2.08%22.14B
2.17%22.00B
0.01%21.69B
-0.11%21.53B
1.36%21.68B
1.53%21.55B
--21.39B
--21.23B
1.35%21.39B
1.52%21.11B
1.12%20.93B
0.84%20.79B
0.87%20.70B
6.53%20.62B
0.00%19.36B
6.53%20.62B
6.00%20.52B
0.07%19.36B
0.16%19.36B
0.07%19.36B
0.16%19.36B
--19.34B
--19.32B
0.18%19.34B
0.15%19.32B
--19.31B
--19.30B
Gewinnrücklagen
24.09%103.10B
5.00%101.97B
-11.59%83.09B
4.08%97.11B
5.96%93.98B
9.63%93.30B
7.10%88.69B
3.67%85.10B
6.57%82.81B
0.62%82.09B
2.85%77.71B
13.64%81.59B
5.32%75.56B
--71.79B
--71.74B
-3.14%71.79B
0.24%74.12B
122.80%72.60B
105.68%73.94B
-8.00%32.59B
2.20%35.95B
10.00%35.42B
2.20%35.95B
10.00%35.42B
13.45%35.17B
17.57%32.20B
13.45%35.17B
17.57%32.20B
--31.00B
--27.39B
44.08%31.00B
51.09%27.39B
--21.52B
--18.13B
Kapitalrücklagen
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
0.00%17.62B
-13.63%17.62B
-13.03%17.62B
2.26%20.40B
2.36%20.26B
0.02%19.95B
-0.12%19.79B
1.48%19.95B
1.66%19.81B
--19.66B
--19.49B
1.47%19.66B
1.66%19.37B
1.22%19.19B
0.92%19.06B
0.95%18.96B
7.17%18.88B
0.00%17.62B
7.17%18.88B
6.59%18.78B
0.07%17.62B
0.17%17.62B
0.07%17.62B
0.17%17.62B
--17.61B
--17.59B
0.19%17.61B
0.15%17.59B
--17.57B
--17.56B
Abzüglich: Eigene Aktien
20.83%5.02B
12.15%3.89B
22.55%4.16B
-6.50%3.46B
-10.94%3.39B
-7.21%3.71B
-9.31%3.81B
-18.67%3.99B
-16.55%4.20B
-21.67%4.91B
-19.71%5.03B
-4.26%6.27B
-4.26%6.27B
--6.55B
--6.55B
-27.07%6.55B
0.00%8.98B
461.60%8.98B
452.28%8.98B
-11.46%1.60B
--1.63B
----
--1.63B
--1.81B
----
----
----
----
----
----
----
----
----
----
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-3.89%-36.76B
-25.83%-39.20B
-8.95%-35.39B
12.37%-31.16B
0.62%-32.48B
-2.82%-35.55B
-2.11%-32.69B
-12.11%-34.58B
6.23%-32.01B
-44.94%-30.84B
-65.68%-34.14B
3.94%-21.28B
-15.04%-20.60B
---22.15B
---17.91B
-49.84%-22.15B
5.39%-14.78B
31.77%-13.00B
-10.74%-15.63B
-138.85%-19.05B
---14.11B
----
---14.11B
---7.97B
----
----
----
----
----
----
----
----
----
----
Sonstiges Eigenkapital
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
-7.67%1.12B
-7.34%1.16B
-7.06%1.21B
-6.84%1.25B
--1.30B
----
--1.30B
--1.34B
----
----
----
----
----
----
----
----
----
----
Nicht beherrschende Anteile
0.17%10.74B
-3.37%10.46B
-5.29%10.72B
-0.48%10.83B
1.11%11.32B
1.96%10.88B
2.14%11.20B
3.33%10.67B
32.40%10.96B
16.94%10.33B
4.86%8.28B
19.27%8.83B
11.96%7.90B
--7.40B
--7.05B
-3.03%7.40B
-24.30%7.63B
179.83%10.77B
181.57%10.09B
-2.41%3.85B
-16.41%3.58B
-18.86%3.94B
-16.41%3.58B
-18.86%3.94B
-13.31%4.29B
8.53%4.86B
-13.31%4.29B
8.53%4.86B
--4.94B
--4.48B
14.98%4.94B
11.07%4.48B
--4.30B
--4.03B
Gesamtes Eigenkapital
2.43%91.41B
-4.29%88.70B
0.52%89.24B
9.96%92.68B
7.29%88.78B
6.22%84.28B
4.01%82.75B
1.26%79.34B
16.41%79.56B
-7.34%78.35B
-12.52%68.35B
17.62%84.55B
3.40%78.13B
--71.89B
--75.56B
-10.39%71.89B
-1.48%80.22B
121.21%83.48B
78.10%81.42B
-26.64%37.74B
-15.74%45.72B
-10.14%51.44B
-15.74%45.72B
-10.14%51.44B
-1.90%54.26B
10.17%57.25B
-1.90%54.26B
10.17%57.25B
--55.31B
--51.97B
21.68%55.31B
24.56%51.97B
--45.45B
--41.72B
Währungseinheit
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