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Compania de Minas Buenaventura SAA

BVN

16.795USD

+0.415+2.53%
Trading geöffnet ETKurse um 15 Minuten verzögert
4.26BMarktkapitalisierung
8.85KGV TTM

Compania de Minas Buenaventura SAA

16.795

+0.415+2.53%
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
25.81%21.47M
148.72%178.09M
105.13%180.86M
5.28%110.08M
145.79%17.06M
8707.26%71.60M
446.47%88.17M
71.03%104.56M
39.23%-37.26M
-99.42%813.00K
103.47%16.13M
-39.89%61.13M
-465.35%-61.32M
570.24%140.90M
-593.10%-464.30M
1253.30%101.70M
-34.18%16.78M
179.96%21.02M
138.26%94.16M
-113.96%-8.82M
186.87%25.50M
-129.56%-26.29M
40.69%39.52M
-58.25%63.19M
-137.69%-29.35M
19.47%88.95M
-68.51%28.09M
412.05%151.33M
302.00%77.88M
-36.03%74.45M
28.17%89.20M
-28.80%29.55M
-88.18%19.37M
319.63%116.40M
283.41%69.59M
4.63%41.51M
275.78%163.90M
175.91%27.74M
-86.18%18.15M
-5.00%39.67M
68.48%43.62M
-119.62%-36.54M
94.42%131.39M
-50.75%41.76M
-63.09%25.89M
81.82%186.21M
-42.68%67.58M
1623.15%84.80M
-48.42%70.14M
--102.42M
--117.89M
--4.92M
--135.99M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
25.81%21.47M
148.72%178.09M
105.13%180.86M
5.28%110.08M
145.79%17.06M
8707.26%71.60M
446.47%88.17M
71.03%104.56M
39.23%-37.26M
-99.42%813.00K
103.47%16.13M
-39.89%61.13M
-465.35%-61.32M
570.24%140.90M
-593.10%-464.30M
1253.30%101.70M
-34.18%16.78M
179.96%21.02M
138.26%94.16M
-113.96%-8.82M
186.87%25.50M
-129.56%-26.29M
40.69%39.52M
-58.25%63.19M
-137.69%-29.35M
19.47%88.95M
-68.51%28.09M
412.05%151.33M
302.00%77.88M
-36.03%74.45M
28.17%89.20M
-28.80%29.55M
-88.18%19.37M
319.63%116.40M
283.41%69.59M
4.63%41.51M
275.78%163.90M
175.91%27.74M
-86.18%18.15M
-5.00%39.67M
68.48%43.62M
-119.62%-36.54M
94.42%131.39M
-50.75%41.76M
-63.09%25.89M
81.82%186.21M
-42.68%67.58M
1623.15%84.80M
-48.42%70.14M
--102.42M
--117.89M
--4.92M
--135.99M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
49.40%82.43M
10.12%98.90M
-305.72%-117.94M
67.26%79.95M
62.06%55.17M
57.84%89.81M
65.05%57.33M
120.25%47.80M
71.77%34.05M
78.65%56.90M
46.80%34.74M
2.10%21.70M
131.07%19.82M
-7.73%31.85M
92.12%23.66M
88.29%21.25M
178.05%8.58M
-9.99%34.52M
-55.52%12.32M
-58.94%11.29M
-231.33%-10.99M
-2.44%38.35M
52.23%27.69M
-9.54%27.49M
-60.42%8.37M
-37.02%39.31M
-61.84%18.19M
-54.84%30.39M
-71.83%21.14M
-50.33%62.41M
-58.53%47.67M
0.22%67.30M
44.54%75.04M
200.10%125.64M
36.31%114.94M
57.53%67.15M
40.38%51.92M
362.80%41.87M
-21.88%84.33M
-12.31%42.63M
-56.62%36.98M
-110.80%-15.93M
-10.69%107.95M
-66.98%48.61M
-0.91%85.25M
-7.50%147.45M
-13.74%120.87M
59.65%147.22M
12.51%86.04M
--159.40M
--140.12M
--92.22M
--76.47M
Investitionsausgaben
43.23%82.72M
8.56%100.97M
59.65%95.45M
189.60%143.90M
59.60%57.75M
58.27%93.01M
60.72%59.79M
63.22%49.69M
82.17%36.19M
83.03%58.77M
55.74%37.20M
42.55%30.44M
53.26%19.86M
-14.29%32.11M
89.54%23.88M
86.76%21.36M
29.01%12.96M
-2.37%37.46M
-54.95%12.60M
-58.82%11.44M
17.97%10.05M
-6.80%38.37M
51.16%27.97M
-8.67%27.77M
-59.81%8.52M
-34.30%41.17M
-61.40%18.50M
-54.82%30.41M
-74.04%21.19M
-50.72%62.67M
-59.48%47.93M
-2.95%67.30M
56.86%81.61M
184.12%127.17M
39.34%118.30M
55.77%69.34M
40.17%52.03M
--44.76M
-21.41%84.89M
-8.55%44.51M
-56.47%37.12M
----
-12.04%108.03M
-66.94%48.68M
-0.89%85.28M
-7.55%147.49M
-12.41%122.82M
59.65%147.22M
12.51%86.04M
--159.54M
--140.21M
--92.22M
--76.47M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
49.40%82.43M
10.72%99.43M
60.58%92.06M
67.26%79.95M
62.06%55.17M
57.84%89.81M
65.05%57.33M
120.25%47.80M
71.77%34.05M
78.65%56.90M
46.80%34.74M
2.10%21.70M
131.07%19.82M
-7.73%31.85M
92.12%23.66M
88.29%21.25M
178.05%8.58M
-9.99%34.52M
-55.52%12.32M
-58.94%11.29M
-231.33%-10.99M
-2.44%38.35M
52.23%27.69M
-9.54%27.49M
-60.42%8.37M
-37.02%39.31M
-61.84%18.19M
-54.84%30.39M
-71.83%21.14M
-50.33%62.41M
-58.45%47.67M
-0.12%67.30M
44.54%75.04M
200.10%125.64M
36.04%114.72M
58.06%67.38M
40.38%51.92M
362.80%41.87M
-21.88%84.33M
-12.31%42.63M
-56.62%36.98M
-110.80%-15.93M
-10.69%107.95M
-66.98%48.61M
-0.91%85.25M
-7.50%147.45M
-13.74%120.87M
59.65%147.22M
12.51%86.04M
--159.40M
--140.12M
--92.22M
--76.47M
Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
----
---534.00K
---210.00M
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100.00%0.00
----
----
--227.00K
---227.00K
----
----
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Netto-Cashflow aus Geschäftstransaktionen
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100.00%0.00
----
-14.89%9.61M
--0.00
---12.18M
72.78%-1.00M
--11.29M
----
----
22.29%-3.69M
----
----
---13.05M
---4.74M
Netto-Cashflow aus Anlageprodukten
----
-103.64%-982.00K
---155.00K
---309.00K
--0.00
--27.00M
--0.00
--0.00
-100.00%0.00
100.00%0.00
100.00%0.00
--0.00
1149586.67%344.91M
---67.00K
72.13%-85.00K
--0.00
100.22%30.00K
--0.00
---305.00K
--0.00
---13.45M
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----
--57.00K
-307.69%-79.64M
--80.00K
--0.00
--0.00
205.47%38.35M
----
-100.00%0.00
----
---36.36M
----
--7.60M
Netto-Cashflow aus anderen Investitionstätigkeiten
----
----
----
----
----
-1562.04%-2.28M
-2273.53%-807.00K
-130.41%-472.00K
---248.00K
---137.00K
---34.00K
1523.85%1.55M
----
----
----
5.22%-109.00K
86.11%-96.00K
56.98%-530.00K
----
88.34%-115.00K
-56.33%-691.00K
77.75%-1.23M
31.85%-1.04M
-22.64%-986.00K
33.23%-442.00K
-2.44%-5.54M
---1.53M
-100.79%-804.00K
-103.74%-662.00K
-3.50%-5.41M
--0.00
--101.99M
--17.68M
95.16%-5.22M
100.00%0.00
----
----
-12084.22%-107.86M
-649.74%-28.01M
-100.00%0.00
----
-77.74%900.00K
-7.87%5.09M
-93.23%1.27M
1269.95%9.03M
1704.37%4.04M
102.12%5.53M
2600.13%18.75M
---772.00K
---252.00K
--2.74M
---750.00K
--0.00
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-49.40%-82.43M
-54.67%-100.28M
302.59%117.78M
-66.27%-80.25M
-60.89%-55.17M
-13.68%-64.83M
-67.21%-58.14M
-121.15%-48.27M
-110.55%-34.29M
-78.70%-57.03M
-46.42%-34.77M
-2.17%-21.83M
3860.82%325.08M
8.93%-31.92M
-88.15%-23.75M
-87.35%-21.36M
-174.15%-8.64M
11.45%-35.05M
56.07%-12.62M
59.96%-11.40M
64.22%-3.15M
11.74%-39.58M
-45.72%-28.73M
8.71%-28.48M
59.59%-8.81M
33.87%-44.84M
58.64%-19.72M
-189.92%-31.20M
61.99%-21.80M
48.18%-67.81M
58.53%-47.67M
151.66%34.69M
-10.48%-57.36M
12.60%-130.86M
-2.32%-114.94M
-57.53%-67.15M
-40.38%-51.92M
-664.98%-149.72M
38.44%-112.33M
28.28%-42.63M
52.11%-36.98M
120.06%26.50M
-137.02%-182.49M
53.73%-59.44M
14.67%-77.23M
17.25%-132.11M
55.68%-76.99M
-21.19%-128.47M
-22.93%-90.50M
---159.65M
---173.74M
---106.01M
---73.62M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
3087.18%230.49M
-551.76%-57.27M
-16.24%-12.30M
-17.57%-32.24M
12.99%-7.72M
-139.63%-8.79M
46.33%-10.58M
45.59%-27.42M
97.08%-8.87M
211.69%22.17M
-103.79%-19.71M
-135.98%-50.40M
-1565.42%-303.36M
-29.40%-19.85M
4355.39%520.69M
-264.86%-21.36M
-68.63%-18.21M
-304.70%-15.34M
19.05%-12.24M
80.53%-5.85M
79.08%-10.80M
87.30%-3.79M
-22.18%-15.12M
-54.82%-30.07M
-316.38%-51.64M
-233.15%-29.86M
-84.78%-12.37M
76.93%-19.42M
-109.69%-12.40M
223.04%22.42M
67.94%-6.70M
-393.39%-84.18M
1008.77%128.03M
-119.72%-18.22M
-127.12%-20.88M
527.73%28.69M
-130.08%-14.09M
543.10%92.41M
132.77%77.01M
-108.71%-6.71M
-31.28%46.84M
80.47%-20.86M
134.22%33.08M
486.82%77.01M
2049.63%68.16M
-190.60%-106.81M
-47.89%14.13M
80.78%-19.91M
81.72%-3.50M
---36.75M
--27.10M
---103.56M
---19.13M
Netto-Cashflow aus Schuldenemission/Rückzahlung
2783.58%230.47M
-546.25%-56.89M
-6.73%-9.54M
1.85%-8.72M
3.30%-8.59M
-1.77%-8.80M
-10.26%-8.94M
69.91%-8.89M
97.32%-8.88M
78.01%-8.65M
-101.52%-8.11M
-150.02%-29.53M
-1871.48%-331.41M
-228.30%-39.33M
9267.12%533.89M
-271.80%-11.81M
-73.51%-16.81M
-764.50%-11.98M
44.16%-5.82M
75.34%-3.18M
80.76%-9.69M
105.97%1.80M
-3.51%-10.43M
-13.82%-12.88M
-349.09%-50.35M
-196.37%-30.22M
-43.72%-10.07M
83.14%-11.32M
-108.53%-11.21M
389.21%31.36M
40.83%-7.01M
-328.57%-67.12M
1875.98%131.39M
-111.44%-10.84M
-114.96%-11.85M
821.88%29.37M
-113.94%-7.40M
866.19%94.78M
125.54%79.22M
-105.10%-4.07M
-24.32%53.06M
88.13%-12.37M
66.58%35.12M
32.98%79.73M
125312.50%70.12M
-506.22%-104.24M
-47.32%21.09M
1330.22%59.95M
-100.55%-56.00K
--25.66M
--40.03M
--4.19M
--10.10M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
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--0.00
--0.00
----
----
----
----
----
----
--0.00
---1.21M
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
---462.00K
----
--0.00
--0.00
----
----
Barausschüttungen
----
----
----
-0.35%18.48M
----
--0.00
--0.00
0.00%18.54M
----
--0.00
--0.00
--18.54M
----
----
----
----
----
----
----
----
----
-59.43%6.86M
-100.00%0.00
93.87%15.24M
----
--16.91M
67.65%2.21M
-50.89%7.86M
-13.72%1.44M
----
-19.95%1.32M
704.73%16.01M
-19.76%1.67M
----
-25.38%1.65M
--1.99M
-36.35%2.08M
----
--2.21M
-100.00%0.00
--3.27M
127.70%5.84M
--0.00
-96.48%2.80M
----
-94.96%2.57M
--0.00
-41.60%79.40M
-88.23%3.44M
--50.89M
--0.00
--135.95M
--29.22M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-97.13%25.00K
-2481.25%-381.00K
-68.01%-2.76M
-126175.00%-5.04M
6607.69%872.00K
-99.95%16.00K
85.86%-1.64M
100.17%4.00K
-99.95%13.00K
58.22%30.82M
12.09%-11.61M
75.62%-2.33M
2096.37%28.05M
679.62%19.48M
-105.93%-13.20M
-256.63%-9.55M
-26.12%-1.41M
-365.90%-3.36M
-36.83%-6.41M
-37.42%-2.68M
14.04%-1.11M
-92.68%1.26M
-5545.78%-4.69M
-698.36%-1.95M
-622.58%-1.30M
293.20%17.27M
-105.08%-83.00K
76.76%-244.00K
114.67%248.00K
-21.15%-8.94M
126.48%1.64M
-179.85%-1.05M
63.32%-1.69M
-211.35%-7.38M
---6.17M
149.81%1.31M
-56.11%-4.61M
10.23%-2.37M
----
-3359.26%-2.64M
-50.66%-2.95M
---2.64M
70.69%-2.04M
--81.00K
---1.96M
100.00%0.00
46.14%-6.96M
----
----
---11.53M
---12.92M
--28.20M
----
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
3087.18%230.49M
-551.76%-57.27M
-16.24%-12.30M
-17.57%-32.24M
12.99%-7.72M
-139.63%-8.79M
46.33%-10.58M
45.59%-27.42M
97.08%-8.87M
211.69%22.17M
-103.79%-19.71M
-135.98%-50.40M
-1565.42%-303.36M
-29.40%-19.85M
4355.39%520.69M
-264.86%-21.36M
-68.63%-18.21M
-304.70%-15.34M
19.05%-12.24M
80.53%-5.85M
79.08%-10.80M
87.30%-3.79M
-22.18%-15.12M
-54.82%-30.07M
-316.38%-51.64M
-233.15%-29.86M
-84.78%-12.37M
76.93%-19.42M
-109.69%-12.40M
223.04%22.42M
67.94%-6.70M
-393.39%-84.18M
1008.77%128.03M
-119.72%-18.22M
-127.12%-20.88M
527.73%28.69M
-130.08%-14.09M
543.10%92.41M
132.77%77.01M
-108.71%-6.71M
-31.28%46.84M
80.47%-20.86M
134.22%33.08M
486.82%77.01M
2049.63%68.16M
-190.60%-106.81M
-47.89%14.13M
80.78%-19.91M
81.72%-3.50M
---36.75M
--27.10M
---103.56M
---19.13M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
117.68%478.44M
106.44%457.89M
-15.23%171.55M
14.02%197.82M
-13.44%219.79M
-22.97%221.81M
-37.99%202.36M
-48.58%173.49M
-32.65%253.92M
0.03%287.97M
27.85%326.32M
71.92%337.41M
60.12%377.00M
8.71%287.87M
30.54%255.23M
-11.43%196.26M
12.09%235.45M
-5.32%264.82M
-31.17%195.51M
-20.69%221.59M
-43.11%210.05M
-21.20%279.71M
-20.87%284.03M
8.20%279.39M
72.08%369.20M
91.36%354.94M
138.26%358.94M
51.38%258.23M
166.38%214.55M
63.81%185.49M
-16.06%150.65M
-3.31%170.58M
5.17%80.54M
4.75%113.23M
43.25%179.46M
30.74%176.42M
0.01%76.59M
-1.19%108.10M
-9.25%125.28M
71.42%134.94M
23.72%76.58M
5.21%109.41M
39.06%138.05M
-51.66%78.72M
-66.85%61.90M
-62.96%103.98M
-67.92%99.28M
-68.32%162.86M
-60.35%186.71M
--280.70M
--309.44M
--514.09M
--470.85M
Änderungen des Cashflows im aktuellen Zeitraum
469.91%169.52M
1117.48%20.54M
1372.29%286.35M
-108.37%-2.42M
43.02%-45.83M
94.07%-2.02M
150.71%19.45M
360.20%28.87M
-103.15%-80.42M
-138.20%-34.05M
-217.50%-38.35M
-118.81%-11.09M
-292.90%-39.59M
403.50%89.13M
-52.91%32.64M
326.18%58.98M
-187.30%-10.08M
57.84%-29.37M
1702.01%69.30M
-661.96%-26.07M
112.85%11.54M
-588.68%-69.66M
-8.26%-4.33M
-95.39%4.64M
-305.62%-89.81M
-50.95%14.26M
-111.47%-4.00M
605.24%100.71M
-51.49%43.68M
188.91%29.06M
152.60%34.84M
-754.00%-19.93M
-8.03%90.04M
-10.51%-32.69M
-285.56%-66.23M
131.54%3.05M
83.07%97.90M
4.25%-29.58M
4.70%-17.18M
-116.29%-9.66M
217.89%53.48M
41.39%-30.89M
-482.86%-18.02M
193.31%59.33M
170.53%16.82M
43.92%-52.71M
116.38%4.71M
68.93%-63.59M
-155.15%-23.85M
---93.99M
---28.74M
---204.65M
--43.24M
Endbestand an Zahlungsmitteln
272.47%647.96M
117.68%478.44M
106.44%457.89M
-3.44%195.40M
0.27%173.96M
-13.44%219.79M
-22.97%221.81M
-37.99%202.36M
-48.58%173.49M
-32.65%253.92M
0.03%287.97M
27.85%326.32M
49.71%337.41M
60.12%377.00M
8.71%287.87M
30.54%255.23M
1.71%225.37M
12.09%235.45M
-5.32%264.82M
-31.17%195.51M
-20.69%221.59M
-43.11%210.05M
-21.20%279.71M
-20.87%284.03M
8.20%279.39M
72.08%369.20M
91.36%354.94M
138.26%358.94M
51.38%258.23M
166.38%214.55M
63.81%185.49M
-16.06%150.65M
-2.24%170.58M
2.58%80.54M
4.75%113.23M
43.25%179.46M
34.16%174.49M
0.01%78.52M
-9.94%108.10M
-9.25%125.28M
65.21%130.06M
53.12%78.51M
15.43%120.03M
39.06%138.05M
-51.66%78.72M
-72.54%51.28M
-62.96%103.98M
-67.92%99.28M
-68.32%162.86M
--186.71M
--280.70M
--309.44M
--514.09M
Freier Cashflow
-50.54%-61.25M
460.24%77.12M
200.95%85.41M
-161.63%-33.81M
44.60%-40.69M
63.06%-21.41M
234.74%28.38M
78.78%54.87M
9.52%-73.45M
-153.27%-57.95M
95.69%-21.06M
-61.80%30.69M
-2223.46%-81.18M
761.65%108.79M
-698.57%-488.19M
496.69%80.34M
-75.26%3.82M
74.57%-16.44M
606.20%81.56M
-157.18%-20.25M
140.80%15.45M
-235.33%-64.66M
20.47%11.55M
-70.71%35.42M
-166.79%-37.87M
305.31%47.78M
-76.77%9.59M
420.40%120.93M
191.09%56.70M
209.44%11.79M
184.73%41.27M
-35.60%-37.74M
-155.63%-62.24M
36.71%-10.77M
27.03%-48.70M
-474.82%-27.83M
1621.42%111.88M
---17.02M
-385.73%-66.74M
30.01%-4.84M
110.94%6.50M
----
142.29%23.36M
88.92%-6.92M
-273.56%-59.39M
167.78%38.71M
-147.48%-55.24M
28.49%-62.43M
-126.71%-15.90M
---57.12M
---22.32M
---87.29M
--59.52M
Währungseinheit
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