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Canadian Natural Resources Ltd

CNQ
30.154USD
+0.024+0.08%
Trading geöffnet ETKurse um 15 Minuten verzögert
63.04BMarktkapitalisierung
7.58KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q2
FY2025Q1
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FY2024Q1
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FY2021Q2
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FY2020Q4
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
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FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-88.75%74.22M
-93.32%66.80M
-91.13%91.64M
3.02%517.48M
36.30%659.55M
135.00%999.93M
-0.50%1.03B
-28.68%502.29M
3.75%483.90M
5.61%425.50M
24.99%1.04B
-26.90%704.26M
-8.42%466.42M
-16.76%402.90M
115.08%830.44M
181.22%963.47M
33.38%509.31M
-47.70%484.03M
-17.72%386.10M
-39.28%342.61M
-46.62%381.84M
95.21%925.55M
1.00%469.23M
-22.61%564.20M
0.48%715.31M
-34.73%474.14M
-42.10%464.58M
-22.20%729.02M
1.57%711.93M
19.74%726.41M
15.52%802.43M
101.14%937.06M
57.55%700.89M
-29.76%606.68M
-10.77%694.60M
1944.44%465.88M
1722.58%444.87M
2936.59%863.68M
3796.44%778.42M
62.05%22.79M
-13.98%24.41M
62.12%28.44M
37.15%19.98M
-18.34%14.06M
72.32%28.38M
-1.54%17.54M
-59.48%14.57M
-17.99%17.22M
63.13%16.47M
35.47%17.82M
--35.95M
--21.00M
--10.09M
--13.15M
- Barmittel und Barmitteläquivalente
-88.75%74.22M
-88.09%66.80M
-85.82%91.64M
468.69%517.48M
621.73%659.55M
725.52%561.04M
-4.54%646.04M
-77.86%91.00M
-49.55%91.39M
-30.23%67.96M
15.34%676.77M
-42.73%411.06M
34.84%181.13M
-28.71%97.41M
303.87%586.75M
435.14%717.78M
-23.30%134.32M
-82.18%136.65M
40.11%145.28M
0.36%134.13M
-41.87%175.14M
1048.01%766.64M
38.12%103.69M
-40.92%133.65M
115.54%301.26M
-43.57%66.78M
-29.66%75.08M
-7.16%226.20M
251.78%139.77M
756.24%118.34M
740.60%106.73M
1617.50%243.64M
115.47%39.73M
18.42%13.82M
-75.34%12.70M
-37.75%14.19M
-24.45%18.44M
-58.96%11.67M
157.77%51.50M
62.05%22.79M
-13.98%24.41M
62.12%28.44M
37.15%19.98M
-18.34%14.06M
72.32%28.38M
-1.54%17.54M
-59.48%14.57M
-17.99%17.22M
63.13%16.47M
35.47%17.82M
--35.95M
--21.00M
--10.09M
--13.15M
-Kurzfristige Anlagen
----
----
-100.00%0.00
----
-100.00%0.00
22.75%438.89M
7.07%386.74M
40.28%411.30M
37.58%392.51M
17.04%357.54M
48.22%361.19M
19.34%293.20M
-23.92%285.29M
-12.06%305.49M
1.19%243.69M
17.85%245.68M
81.41%374.99M
118.60%347.38M
-34.12%240.82M
-51.58%208.48M
-50.08%206.70M
-60.99%158.91M
-6.15%365.54M
-14.37%430.56M
-27.63%414.05M
-33.01%407.36M
-44.01%389.50M
-27.49%502.83M
-13.46%572.15M
2.57%608.07M
2.02%695.70M
53.52%693.42M
55.04%661.16M
-30.42%592.86M
-6.19%681.90M
--451.69M
--426.43M
--852.01M
--726.92M
----
----
----
----
----
----
----
----
----
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----
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Forderungen
7.75%2.84B
11.21%2.77B
22.87%2.89B
-27.64%2.22B
25.96%2.63B
-0.81%2.49B
-10.17%2.35B
8.04%3.07B
-46.39%2.09B
-31.49%2.51B
6.59%2.62B
11.61%2.85B
53.14%3.90B
60.12%3.67B
24.34%2.45B
72.65%2.55B
57.02%2.55B
110.00%2.29B
6.74%1.97B
-19.13%1.48B
0.84%1.62B
-35.71%1.09B
116.63%1.85B
20.88%1.83B
-19.82%1.61B
-0.93%1.70B
-59.72%853.34M
16.20%1.51B
14.70%2.01B
10.50%1.71B
24.12%2.12B
-7.17%1.30B
16.15%1.75B
14.17%1.55B
17.03%1.71B
-3.61%1.40B
-7.83%1.51B
-19.65%1.36B
-13.80%1.46B
-17.21%1.45B
-10.66%1.63B
-4.58%1.69B
30.22%1.69B
6.23%1.76B
16.92%1.83B
23.98%1.77B
11.71%1.30B
21.05%1.65B
1.43%1.56B
4.89%1.43B
--1.16B
--1.36B
--1.54B
--1.36B
-Forderungen aus Lieferungen und Leistungen
7.75%2.84B
11.21%2.77B
22.87%2.89B
-27.64%2.22B
25.96%2.63B
-0.81%2.49B
-10.17%2.35B
8.04%3.07B
-46.39%2.09B
-31.49%2.51B
6.59%2.62B
11.61%2.85B
53.14%3.90B
60.12%3.67B
41.89%2.45B
107.16%2.55B
82.98%2.55B
149.84%2.29B
-5.97%1.73B
-32.60%1.23B
-13.46%1.39B
-45.96%916.96M
115.49%1.84B
20.88%1.83B
-19.82%1.61B
4.99%1.70B
-54.30%853.34M
30.63%1.51B
55.09%2.01B
59.85%1.62B
74.36%1.87B
43.16%1.16B
44.94%1.29B
26.41%1.01B
12.38%1.07B
-19.06%807.82M
-21.41%892.05M
-34.42%799.88M
-36.86%953.06M
-40.48%998.10M
-37.75%1.14B
-31.13%1.22B
16.19%1.51B
1.50%1.68B
16.63%1.82B
23.98%1.77B
11.71%1.30B
21.05%1.65B
1.43%1.56B
4.89%1.43B
--1.16B
--1.36B
--1.54B
--1.36B
Inventar
8.43%1.94B
14.78%1.93B
30.40%1.95B
14.78%1.82B
21.54%1.79B
18.77%1.68B
12.22%1.50B
18.48%1.58B
-1.18%1.47B
7.31%1.42B
9.36%1.34B
34.71%1.34B
53.53%1.49B
47.57%1.32B
45.86%1.22B
19.46%991.57M
17.93%970.66M
33.10%895.62M
-2.61%836.95M
-5.03%830.08M
-8.55%823.06M
-15.41%672.87M
21.06%859.38M
2.30%874.02M
12.57%900.01M
3.30%795.43M
1.92%709.88M
24.75%854.35M
8.30%799.48M
60.87%770.01M
35.34%696.48M
48.91%684.84M
57.25%738.24M
4.26%478.65M
31.34%514.60M
-8.68%459.91M
-16.04%469.46M
-23.36%459.07M
-26.27%391.82M
-28.28%503.61M
-22.58%559.12M
-13.28%598.96M
-7.64%531.40M
5.31%702.23M
13.66%722.20M
11.28%690.67M
6.90%575.38M
16.99%666.79M
6.16%635.41M
-8.57%620.67M
--538.23M
--569.94M
--598.57M
--678.87M
Aktive Rechnungsabgrenzungsposten
60.98%349.27M
59.76%354.09M
-43.75%195.17M
-6.15%255.51M
-42.98%216.97M
23.98%221.64M
119.38%346.96M
8.16%272.26M
42.71%380.52M
5.23%178.77M
2.84%158.16M
7.74%251.73M
2.61%266.64M
-18.75%169.89M
-15.68%153.79M
-3.23%233.64M
61.55%259.85M
45.32%209.09M
40.52%182.39M
2.89%241.43M
-32.54%160.85M
0.99%143.88M
-0.78%129.80M
4.80%234.64M
0.15%238.44M
2.80%142.46M
-4.04%130.83M
-1.47%223.90M
-7.53%238.08M
-20.29%138.59M
22.51%136.34M
34.08%227.24M
44.44%257.47M
20.78%173.86M
-7.96%111.29M
-17.36%169.48M
-19.42%178.26M
-3.33%143.95M
-12.03%120.90M
-9.20%205.09M
-12.76%221.21M
-7.32%148.90M
7.07%137.45M
16.88%225.87M
22.89%253.55M
7.49%160.66M
4.86%128.37M
1.19%193.25M
53.68%206.32M
16.33%149.48M
--122.41M
--190.98M
--134.25M
--128.49M
Sonstige kurzfristige Vermögenswerte
25.22%71.31M
36.61%68.95M
1.40%44.07M
29.52%48.09M
61.75%56.95M
5.11%50.47M
1.87%43.46M
-16.34%37.13M
-20.55%35.21M
-15.60%48.02M
80.33%42.67M
49.39%44.38M
13.10%44.31M
-45.15%56.89M
-61.09%23.66M
-80.12%29.71M
-27.61%39.18M
74.58%103.72M
50.92%60.80M
181.18%149.46M
-0.70%54.12M
9.69%59.41M
-53.28%40.28M
10.41%53.16M
-16.51%54.50M
-19.10%54.17M
40.10%86.23M
-29.94%48.14M
141.61%65.28M
-67.13%66.96M
-70.88%61.55M
-51.56%68.72M
-86.63%27.02M
445.36%203.68M
-24.48%211.37M
-60.10%141.85M
-27.22%202.07M
-92.56%37.35M
-31.33%279.87M
1585.31%355.49M
--277.65M
--501.92M
--407.54M
--21.09M
----
----
----
----
-18.08%33.90M
----
--0.00
----
--41.38M
----
Summe der kurzfristigen Vermögenswerte
-1.57%5.27B
-4.66%5.20B
-1.88%5.18B
-11.09%4.86B
20.03%5.36B
18.89%5.45B
1.70%5.28B
5.14%5.47B
-27.64%4.46B
-18.49%4.58B
10.78%5.19B
8.74%5.20B
40.64%6.17B
40.77%5.62B
36.09%4.69B
54.68%4.78B
43.43%4.38B
33.39%3.99B
2.87%3.44B
-12.94%3.09B
-13.06%3.06B
-5.32%2.99B
49.11%3.35B
5.53%3.55B
-7.96%3.52B
-7.37%3.16B
-41.16%2.24B
4.60%3.37B
10.03%3.82B
13.34%3.41B
17.80%3.82B
22.00%3.22B
24.00%3.47B
5.28%3.01B
6.90%3.24B
3.85%2.64B
3.11%2.80B
-3.58%2.86B
8.65%3.03B
-6.56%2.54B
-4.12%2.72B
12.43%2.97B
38.20%2.79B
7.47%2.72B
15.34%2.83B
19.11%2.64B
8.49%2.02B
17.82%2.53B
5.58%2.46B
1.56%2.22B
--1.86B
--2.15B
--2.33B
--2.18B
Langfristige Vermögenswerte
Nettoanlagevermögen
14.81%56.25B
11.11%55.19B
7.61%54.10B
-2.19%48.61B
-4.72%48.99B
-1.74%49.67B
-0.28%50.27B
-2.20%49.69B
-5.21%51.41B
-7.56%50.55B
-8.89%50.41B
-7.92%50.81B
-1.64%54.24B
-3.94%54.68B
0.35%55.33B
4.87%55.18B
5.62%55.14B
12.59%56.92B
2.07%55.14B
-4.47%52.62B
-5.49%52.21B
-0.33%50.56B
8.15%54.02B
6.49%55.09B
6.61%55.24B
-3.64%50.72B
-5.44%49.95B
-2.25%51.73B
-2.61%51.81B
37.05%52.64B
32.71%52.82B
32.64%52.92B
29.28%53.20B
-7.88%38.41B
-1.35%39.80B
-6.65%39.90B
-50.42%41.15B
-11.36%41.70B
-9.90%40.35B
-12.21%42.74B
66.75%83.01B
1.93%47.04B
0.18%44.78B
5.08%48.69B
7.29%49.78B
-1.27%46.15B
-1.35%44.70B
2.10%46.33B
2.31%46.40B
3.58%46.74B
--45.31B
--45.38B
--45.35B
--45.13B
-Anlagevermögen
10.88%122.36B
8.11%120.03B
4.74%116.18B
1.82%110.56B
-0.54%110.36B
2.18%111.02B
3.23%110.93B
3.09%108.58B
-0.12%110.96B
-1.75%108.65B
-3.25%107.46B
-5.19%105.32B
1.36%111.09B
-1.53%110.58B
3.45%111.07B
8.06%111.08B
8.78%109.60B
16.81%112.30B
7.28%107.36B
1.60%102.80B
0.53%100.76B
2.10%96.14B
6.47%100.08B
5.04%101.18B
4.54%100.23B
-2.20%94.16B
-1.41%94.00B
1.57%96.32B
0.70%95.87B
26.28%96.27B
22.50%95.34B
23.21%94.83B
21.32%95.21B
-3.09%76.24B
3.24%77.83B
-0.65%76.97B
-47.72%78.48B
-5.20%78.67B
-2.82%75.39B
-7.18%77.47B
77.25%150.12B
3.04%82.99B
0.06%77.57B
4.92%83.46B
7.19%84.69B
2.00%80.54B
2.18%77.53B
5.20%79.54B
5.31%79.01B
7.00%78.96B
--75.88B
--75.61B
--75.03B
--73.80B
-Abgegrenzte Abschreibungen
7.74%66.12B
5.69%64.84B
2.35%62.09B
5.21%61.95B
3.06%61.37B
5.60%61.35B
6.33%60.66B
8.03%58.88B
4.73%59.54B
3.94%58.10B
2.34%57.05B
-2.49%54.51B
4.39%56.85B
0.94%55.90B
6.74%55.74B
11.40%55.90B
12.17%54.46B
21.49%55.38B
13.38%52.23B
8.85%50.18B
7.92%48.55B
4.94%45.58B
4.56%46.06B
3.37%46.09B
2.11%44.99B
-0.46%43.43B
3.60%44.05B
6.40%44.59B
4.89%44.06B
15.34%43.63B
11.81%42.52B
13.06%41.91B
12.55%42.00B
2.31%37.83B
8.53%38.03B
6.73%37.07B
-44.38%37.32B
2.85%36.98B
6.85%35.04B
-0.12%34.73B
92.23%67.11B
4.53%35.95B
-0.12%32.79B
4.70%34.77B
7.06%34.91B
6.74%34.39B
7.41%32.83B
9.86%33.21B
9.89%32.61B
12.39%32.22B
--30.56B
--30.23B
--29.67B
--28.67B
Langfristige im Voraus bezahlte Aufwendungen
----
----
-11.93%116.12M
-15.11%115.55M
-16.37%119.66M
----
-9.92%131.86M
-5.02%136.13M
18.74%143.07M
19.25%144.05M
18.23%146.39M
12.98%143.32M
-5.22%120.49M
-8.29%120.79M
-3.20%123.82M
--126.86M
--127.13M
--131.71M
31.90%127.91M
----
----
----
--96.98M
--85.81M
--73.42M
--60.10M
----
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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----
Sonstige langfristige Vermögenswerte
34.35%526.81M
16.67%535.09M
9.17%424.62M
7.15%413.41M
-6.52%392.13M
-0.98%458.64M
-3.34%388.95M
11.18%385.82M
17.05%419.48M
18.40%463.18M
18.66%402.38M
-2.43%347.04M
-0.62%358.36M
7.76%391.21M
9.84%339.12M
141.70%355.68M
41.93%360.60M
-50.38%363.02M
47.28%308.72M
-29.01%147.16M
18.18%254.06M
310.81%731.57M
206.53%209.62M
89.71%207.31M
145.54%214.97M
62.22%178.08M
-45.81%68.39M
112.03%109.28M
-11.15%87.55M
205.53%109.78M
-17.97%126.21M
182.18%51.54M
192.26%98.54M
-243.75%-104.02M
199.59%153.86M
79.20%-62.71M
47.95%-106.80M
118.02%72.36M
-175.52%-154.49M
-164.98%-301.56M
-366.87%-205.19M
-514.16%-401.54M
65.22%204.57M
1002.44%464.05M
30.13%76.89M
23.98%96.95M
8.93%123.82M
68.39%42.09M
-83.13%59.09M
-79.00%78.20M
--113.67M
--25.00M
--350.26M
--372.32M
Summe der langfristigen Vermögenswerte
14.96%56.77B
11.16%55.72B
7.62%54.53B
-2.11%49.02B
-4.73%49.39B
-1.73%50.13B
-0.29%50.67B
-2.12%50.08B
-5.05%51.84B
-7.54%51.01B
-8.88%50.82B
-8.08%51.17B
-1.81%54.60B
-4.63%55.17B
-0.39%55.78B
4.21%55.67B
4.66%55.60B
12.41%57.85B
1.93%55.99B
-4.75%53.42B
-5.55%53.13B
-0.50%51.46B
7.82%54.93B
6.45%56.08B
6.60%56.25B
-3.48%51.72B
-5.18%50.95B
-2.04%52.68B
-2.38%52.76B
36.93%53.59B
32.46%53.73B
32.34%53.78B
28.96%54.05B
-8.03%39.13B
-1.56%40.56B
-6.61%40.64B
-49.89%41.91B
-11.00%42.55B
-9.07%41.21B
-11.47%43.51B
66.47%83.65B
2.76%47.81B
0.48%45.32B
5.32%49.15B
7.46%50.25B
-1.26%46.53B
-1.37%45.10B
2.08%46.67B
2.31%46.76B
3.57%47.12B
--45.73B
--45.72B
--45.70B
--45.50B
Summe der Vermögenswerte
13.34%62.04B
9.61%60.92B
6.72%59.71B
-3.00%53.89B
-2.76%54.74B
-0.03%55.58B
-0.11%55.95B
-1.45%55.55B
-7.35%56.30B
-8.55%55.60B
-7.36%56.01B
-6.75%56.37B
1.29%60.76B
-1.69%60.79B
1.72%60.46B
6.97%60.45B
6.77%59.99B
13.56%61.84B
1.99%59.44B
-5.24%56.51B
-5.99%56.18B
-0.78%54.46B
9.56%58.28B
6.40%59.63B
5.62%59.76B
-3.72%54.88B
-7.57%53.19B
-1.66%56.05B
-1.64%56.58B
35.25%57.00B
31.38%57.55B
31.71%57.00B
28.65%57.53B
-7.19%42.15B
-0.98%43.80B
-6.04%43.27B
-3.18%44.71B
-10.57%45.41B
-8.04%44.24B
-11.21%46.05B
-13.00%46.18B
3.27%50.78B
2.10%48.11B
5.43%51.87B
7.85%53.08B
-0.35%49.17B
-0.98%47.12B
2.79%49.20B
2.47%49.22B
3.48%49.34B
--47.59B
--47.86B
--48.03B
--47.68B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
-27.45%16.74M
34.19%29.45M
-1.76%20.99M
-29.58%21.53M
-45.01%23.07M
-58.16%21.94M
-59.67%21.36M
-58.39%30.57M
-47.61%41.95M
-35.90%52.45M
-40.57%52.96M
-22.44%73.48M
7.68%80.07M
2.48%81.83M
14.01%89.12M
201.48%94.74M
83.20%74.36M
186.02%79.85M
-82.12%78.17M
-84.50%31.42M
-84.77%40.59M
-88.80%27.92M
75.55%437.15M
-20.09%202.75M
-13.48%266.44M
13.15%249.31M
-68.42%249.02M
-60.86%253.71M
-51.13%307.96M
-29.89%220.34M
127.99%788.41M
123.16%648.13M
111.93%630.17M
34.62%314.25M
124.93%345.81M
128.95%290.43M
74.03%297.35M
-10.56%233.43M
-39.69%153.74M
-51.40%126.85M
-67.59%170.86M
-26.96%261.00M
1.82%254.91M
6.17%261.03M
255.76%527.23M
29.85%357.34M
66.26%250.36M
41.31%245.86M
1.96%148.20M
-24.44%275.19M
--150.59M
--173.98M
--145.35M
--364.23M
Rückstellungen
-3.35%3.28B
3.35%3.45B
16.33%3.49B
-10.62%3.01B
3.63%3.39B
2.90%3.34B
-14.48%3.00B
6.33%3.37B
-17.50%3.27B
-10.62%3.24B
31.08%3.51B
25.87%3.17B
57.12%3.97B
52.01%3.63B
37.48%2.68B
52.93%2.52B
64.13%2.52B
48.01%2.39B
-0.08%1.95B
-15.42%1.64B
-13.91%1.54B
-15.03%1.61B
11.22%1.95B
-0.51%1.94B
-8.49%1.79B
-1.02%1.90B
-13.44%1.75B
9.22%1.95B
20.19%1.95B
35.45%1.92B
21.91%2.02B
18.15%1.79B
7.04%1.62B
-13.81%1.42B
6.45%1.66B
-16.83%1.51B
-21.43%1.52B
-25.90%1.64B
-40.50%1.56B
-32.49%1.82B
-27.94%1.93B
-9.47%2.22B
14.26%2.62B
13.77%2.70B
12.89%2.68B
2.09%2.45B
3.85%2.29B
6.93%2.37B
7.10%2.37B
3.21%2.40B
--2.21B
--2.22B
--2.22B
--2.32B
Kurzfristige Rückstellungen
13.31%573.38M
19.20%574.59M
17.88%550.54M
41.78%483.03M
41.03%506.02M
34.54%482.04M
28.26%467.03M
72.16%340.69M
64.84%358.80M
85.38%358.28M
85.43%364.13M
112.48%197.89M
106.23%217.66M
48.60%193.27M
35.17%196.37M
-2.01%93.14M
-8.82%105.54M
0.39%130.06M
--145.28M
--95.04M
--115.75M
--129.56M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
48.10%1.17B
-21.04%1.21B
97.28%1.86B
1.68%1.35B
-58.57%790.02M
67.76%1.53B
97.50%941.44M
16.59%1.32B
65.65%1.91B
-59.96%913.05M
-48.99%476.68M
19.34%1.14B
-42.08%1.15B
41.47%2.28B
-22.74%934.54M
22.16%952.23M
29.31%1.99B
-25.54%1.61B
-38.20%1.21B
-76.02%779.49M
-51.65%1.54B
55.34%2.16B
130.80%1.96B
750.60%3.25B
401.16%3.18B
177.92%1.39B
-42.00%848.14M
-73.90%382.09M
-58.98%634.36M
-77.97%501.40M
8.05%1.46B
-6.53%1.46B
-16.31%1.55B
200.65%2.28B
4.88%1.35B
23.26%1.57B
94.43%1.85B
-45.71%757.08M
64.78%1.29B
-24.46%1.27B
-43.69%950.42M
0.82%1.39B
-40.43%783.12M
242.10%1.68B
562.57%1.69B
450.12%1.38B
69.57%1.31B
-56.79%491.72M
-78.34%254.75M
-78.41%251.44M
--775.28M
--1.14B
--1.18B
--1.16B
-Kurzfristige Leasingverpflichtungen
-12.95%173.18M
-12.15%183.15M
-18.74%178.38M
18.22%185.89M
17.00%198.95M
15.66%208.47M
22.30%219.52M
11.98%157.24M
11.60%170.04M
21.73%180.25M
23.02%179.49M
-5.97%140.41M
2.45%152.36M
-3.29%148.07M
-2.23%145.90M
3.09%149.34M
-2.05%148.72M
-3.21%153.11M
-14.14%149.23M
-21.82%144.86M
-15.01%151.83M
1.04%158.20M
--173.82M
--185.28M
--178.64M
--156.56M
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Andere kurzfristige Verbindlichkeiten
11.54%590.12M
19.85%604.04M
17.02%571.53M
35.90%504.56M
32.02%529.09M
22.71%503.99M
17.09%488.40M
36.81%371.26M
34.60%400.75M
49.30%410.73M
46.10%417.10M
44.44%271.37M
65.50%297.73M
31.05%275.09M
27.76%285.49M
48.56%187.88M
15.07%179.90M
33.29%209.91M
-48.88%223.45M
-37.62%126.47M
-41.32%156.34M
-36.83%157.48M
75.55%437.15M
-20.09%202.75M
-13.48%266.44M
13.15%249.31M
-68.42%249.02M
-60.86%253.71M
-51.13%307.96M
-29.89%220.34M
127.99%788.41M
123.16%648.13M
111.93%630.17M
34.62%314.25M
124.93%345.81M
128.95%290.43M
74.03%297.35M
-10.56%233.43M
-39.69%153.74M
-51.40%126.85M
-67.59%170.86M
-26.96%261.00M
1.82%254.91M
6.17%261.03M
255.76%527.23M
29.85%357.34M
66.26%250.36M
41.31%245.86M
1.96%148.20M
-24.44%275.19M
--150.59M
--173.98M
--145.35M
--364.23M
Summe der kurzfristigen Verbindlichkeiten
1.77%6.19B
0.02%6.21B
23.01%6.74B
-4.07%5.76B
-5.17%6.09B
11.96%6.21B
-13.94%5.48B
-9.53%6.01B
-11.38%6.42B
-26.45%5.54B
8.72%6.36B
26.53%6.64B
28.29%7.24B
52.62%7.54B
45.99%5.85B
64.72%5.25B
52.75%5.65B
9.43%4.94B
-19.02%4.01B
-46.60%3.19B
-38.19%3.70B
8.39%4.51B
39.87%4.95B
62.82%5.96B
60.28%5.98B
23.55%4.16B
-27.43%3.54B
-18.99%3.66B
-13.68%3.73B
-23.42%3.37B
28.25%4.88B
17.79%4.52B
4.89%4.32B
48.12%4.40B
10.90%3.80B
7.35%3.84B
18.86%4.12B
-32.07%2.97B
-16.54%3.43B
-31.29%3.58B
-36.12%3.47B
-12.00%4.37B
-13.77%4.11B
31.83%5.20B
49.57%5.43B
36.75%4.97B
23.36%4.77B
-7.89%3.95B
-14.43%3.63B
-22.12%3.63B
--3.86B
--4.29B
--4.24B
--4.67B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
14.41%5.74B
8.14%5.54B
5.25%5.47B
6.23%4.93B
5.15%5.01B
8.65%5.13B
10.18%5.20B
3.63%4.64B
3.53%4.77B
-7.04%4.72B
-8.77%4.72B
-2.55%4.48B
1.87%4.61B
8.98%5.08B
15.36%5.17B
37.15%4.60B
37.40%4.52B
48.89%4.66B
8.01%4.48B
-37.63%3.35B
-16.54%3.29B
15.00%3.13B
50.89%4.15B
62.33%5.37B
18.76%3.94B
-17.81%2.72B
-16.64%2.75B
8.04%3.31B
6.09%3.32B
44.85%3.31B
55.05%3.30B
50.57%3.06B
45.82%3.13B
6.32%2.28B
--2.13B
-38.10%2.03B
-33.69%2.15B
-39.61%2.15B
----
--3.29B
--3.24B
--3.56B
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----
----
----
----
----
----
----
----
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Langfristige Schulden und Leasingverbindlichkeiten
70.00%11.43B
70.18%11.49B
58.79%11.49B
-17.40%6.04B
-8.73%6.72B
-17.15%6.75B
-10.94%7.23B
-13.25%7.31B
-16.25%7.37B
-6.39%8.15B
-24.79%8.12B
-33.48%8.42B
-31.36%8.80B
-42.01%8.71B
-31.99%10.80B
-21.49%12.66B
-19.48%12.82B
5.47%15.01B
14.49%15.88B
15.13%16.13B
7.60%15.92B
-0.73%14.23B
-4.23%13.87B
-4.66%14.01B
-6.36%14.79B
-13.68%14.34B
-9.68%14.48B
-10.57%14.70B
-6.80%15.80B
73.31%16.61B
43.18%16.03B
44.88%16.43B
48.75%16.95B
-21.00%9.58B
-0.40%11.20B
0.66%11.34B
1.37%11.40B
3.42%12.13B
8.05%11.24B
8.94%11.27B
5.93%11.24B
43.45%11.73B
39.10%10.41B
21.79%10.35B
12.13%10.61B
-8.90%8.18B
-3.00%7.48B
16.72%8.49B
27.43%9.46B
25.14%8.98B
--7.71B
--7.28B
--7.43B
--7.17B
-Langfristige Verbindlichkeiten
70.00%11.43B
70.18%11.49B
58.79%11.49B
-17.40%6.04B
-8.73%6.72B
-17.15%6.75B
-10.94%7.23B
-13.25%7.31B
-16.25%7.37B
-6.39%8.15B
-24.79%8.12B
-33.48%8.42B
-31.36%8.80B
-42.01%8.71B
-31.99%10.80B
-21.49%12.66B
-19.48%12.82B
5.47%15.01B
14.49%15.88B
15.13%16.13B
7.60%15.92B
-0.73%14.23B
-4.23%13.87B
-4.66%14.01B
-6.36%14.79B
-13.68%14.34B
-9.68%14.48B
-10.57%14.70B
-6.80%15.80B
73.31%16.61B
43.18%16.03B
44.88%16.43B
48.75%16.95B
-21.00%9.58B
-0.40%11.20B
0.66%11.34B
1.37%11.40B
3.42%12.13B
8.05%11.24B
8.94%11.27B
5.93%11.24B
43.45%11.73B
39.10%10.41B
21.79%10.35B
12.13%10.61B
-8.90%8.18B
-3.00%7.48B
16.72%8.49B
27.43%9.46B
25.14%8.98B
--7.71B
--7.28B
--7.43B
--7.17B
Langfristige aufgelaufene Kosten
-54.29%52.39M
-56.53%61.05M
-38.39%109.83M
-40.26%116.99M
-3.77%114.61M
7.41%140.44M
-50.44%178.27M
22.90%195.82M
-21.02%119.10M
-29.80%130.75M
185.08%359.72M
57.50%159.33M
130.02%150.81M
223.23%186.25M
289.78%126.18M
158.80%101.16M
481.50%65.56M
235.41%57.62M
--32.37M
--39.09M
--11.27M
--17.18M
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Derivative-Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-96.11%777.36K
-73.37%7.01M
-55.23%10.25M
--15.25M
--19.99M
--26.34M
--22.90M
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Andere langfristige Verbindlichkeiten
13.92%5.81B
7.75%5.62B
4.86%5.55B
5.92%5.02B
4.66%5.10B
8.15%5.21B
12.88%5.29B
2.18%4.74B
2.02%4.87B
-8.04%4.82B
-12.69%4.69B
-3.72%4.64B
1.18%4.78B
7.32%5.24B
13.53%5.37B
40.71%4.82B
39.57%4.72B
52.52%4.89B
14.21%4.73B
-17.50%3.42B
-17.72%3.38B
12.02%3.20B
43.29%4.14B
17.68%4.15B
18.98%4.11B
-16.64%2.86B
-15.59%2.89B
9.36%3.53B
6.34%3.45B
45.77%3.43B
42.30%3.43B
50.58%3.22B
46.25%3.25B
6.98%2.35B
11.61%2.41B
-33.56%2.14B
-30.85%2.22B
-38.41%2.20B
-35.35%2.16B
-20.47%3.22B
-25.56%3.21B
-10.20%3.57B
-15.72%3.34B
-8.13%4.05B
-1.29%4.31B
-11.94%3.98B
-11.60%3.96B
11.57%4.41B
12.08%4.37B
15.04%4.52B
--4.48B
--3.95B
--3.90B
--3.93B
Gesamt langfristige Verbindlichkeiten
27.69%25.80B
25.34%25.66B
20.03%25.37B
-5.82%19.49B
-3.48%20.21B
-5.00%20.47B
-2.01%21.13B
-5.86%20.69B
-8.74%20.93B
-7.37%21.55B
-15.34%21.57B
-17.61%21.98B
-15.02%22.94B
-21.28%23.26B
-14.70%25.47B
-6.95%26.68B
-4.23%26.99B
13.06%29.55B
9.69%29.86B
5.22%28.67B
1.23%28.18B
-2.40%26.14B
5.17%27.22B
1.42%27.25B
-0.43%27.84B
-6.69%26.78B
-7.59%25.88B
-4.05%26.87B
-2.16%27.96B
54.63%28.70B
37.43%28.01B
38.02%28.00B
38.73%28.58B
-13.41%18.56B
0.04%20.38B
-6.07%20.29B
-4.31%20.60B
-5.30%21.43B
-2.56%20.37B
-2.32%21.60B
-5.30%21.53B
13.86%22.63B
10.70%20.91B
6.29%22.11B
4.25%22.73B
-7.87%19.88B
-6.17%18.89B
6.91%20.80B
11.02%21.81B
11.51%21.58B
--20.13B
--19.46B
--19.64B
--19.35B
Gesamtverbindlichkeiten
21.69%31.99B
19.45%31.87B
20.64%32.10B
-5.43%25.25B
-3.88%26.29B
-1.53%26.68B
-4.72%26.61B
-6.71%26.70B
-9.38%27.35B
-12.04%27.09B
-10.84%27.93B
-10.35%28.62B
-7.52%30.18B
-10.69%30.80B
-7.51%31.32B
0.22%31.93B
2.38%32.64B
12.52%34.49B
5.27%33.87B
-4.08%31.86B
-5.74%31.88B
-0.94%30.65B
9.35%32.17B
8.79%33.21B
6.71%33.82B
-3.51%30.94B
-10.53%29.42B
-6.13%30.53B
-3.67%31.69B
39.67%32.07B
35.98%32.89B
34.80%32.52B
33.09%32.90B
-5.92%22.96B
1.60%24.18B
-4.16%24.13B
-1.10%24.72B
-9.63%24.41B
-4.86%23.80B
-7.84%25.18B
-11.24%25.00B
8.69%27.01B
5.77%25.02B
10.36%27.32B
10.72%28.16B
-1.44%24.85B
-1.42%23.65B
4.24%24.75B
6.50%25.43B
4.97%25.21B
--23.99B
--23.75B
--23.88B
--24.02B
Eigenkapital der Aktionäre
Stammkapital
2.80%8.21B
0.18%8.08B
-1.92%7.74B
2.26%7.93B
1.22%7.99B
4.06%8.07B
4.21%7.89B
4.90%7.76B
-1.93%7.89B
-4.92%7.75B
-5.57%7.57B
-6.58%7.39B
2.03%8.05B
2.28%8.15B
5.73%8.02B
8.44%7.91B
10.19%7.89B
17.03%7.97B
6.65%7.58B
3.19%7.30B
1.44%7.16B
-1.89%6.81B
2.62%7.11B
-1.47%7.07B
-2.33%7.05B
-3.73%6.94B
-2.34%6.93B
3.94%7.18B
3.63%7.22B
103.64%7.21B
103.41%7.10B
111.82%6.91B
117.70%6.97B
-0.52%3.54B
2.94%3.49B
-5.31%3.26B
-7.38%3.20B
-4.87%3.56B
-4.31%3.39B
-10.72%3.44B
-12.60%3.46B
-1.14%3.74B
0.94%3.54B
7.07%3.86B
9.30%3.96B
2.20%3.79B
-2.63%3.51B
-2.41%3.60B
-2.31%3.62B
-0.35%3.70B
--3.60B
--3.69B
--3.70B
--3.72B
Gewinnrücklagen
6.83%21.69B
0.35%20.75B
-7.81%19.66B
-1.84%20.56B
-2.96%20.30B
0.41%20.68B
4.76%21.32B
3.75%20.94B
-7.00%20.92B
-5.82%20.60B
-3.61%20.36B
-1.91%20.19B
15.37%22.50B
12.73%21.87B
17.48%21.12B
19.23%20.58B
14.73%19.50B
15.70%19.40B
-5.22%17.98B
-10.45%17.26B
-9.91%17.00B
-1.11%16.77B
13.25%18.97B
4.95%19.27B
6.85%18.87B
-4.42%16.96B
-4.94%16.75B
4.29%18.37B
0.09%17.66B
13.61%17.74B
9.57%17.62B
11.07%17.61B
5.26%17.64B
-10.44%15.61B
-5.37%16.08B
-8.79%15.86B
-5.47%16.76B
-12.81%17.44B
-12.89%16.99B
-15.83%17.38B
-15.24%17.73B
-2.41%20.00B
-2.07%19.50B
-0.60%20.65B
4.10%20.92B
0.67%20.49B
-0.08%19.92B
1.95%20.78B
-1.40%20.10B
2.36%20.36B
--19.93B
--20.38B
--20.38B
--19.89B
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-6.78%149.17M
42.26%213.32M
66.19%210.56M
-5.20%143.54M
20.70%160.02M
-1.94%149.95M
-17.59%126.70M
-9.51%151.42M
262.89%132.58M
616.37%152.91M
19594.78%153.74M
463.28%167.33M
199.34%36.54M
-71.31%-29.61M
-112.49%-788.64K
-68.74%29.71M
-124.71%-36.78M
-107.55%-17.29M
-75.10%6.32M
27.71%95.04M
628.21%148.83M
432.25%229.06M
-72.03%25.36M
395.10%74.42M
121.76%20.44M
340.33%43.04M
271.18%90.69M
43.34%-25.22M
-3.36%9.22M
-157.25%-17.91M
-201.33%-52.98M
-249.04%-44.51M
-65.53%9.54M
235.00%31.28M
-6.60%52.28M
-41.32%29.86M
618.04%27.66M
-69.00%9.34M
37.35%55.97M
23.20%50.89M
-112.68%-5.34M
-25.87%30.12M
6.58%40.75M
-35.55%41.31M
-35.12%42.11M
-39.64%40.63M
-32.14%38.24M
39.35%64.10M
8.97%64.90M
12.77%67.31M
--56.35M
--46.00M
--59.55M
--59.69M
Gesamtes Eigenkapital
5.62%30.05B
0.52%29.05B
-5.90%27.61B
-0.75%28.63B
-1.72%28.45B
1.39%28.90B
4.49%29.34B
3.98%28.85B
-5.35%28.95B
-4.97%28.50B
-3.62%28.08B
-2.72%27.75B
11.81%30.58B
9.65%30.00B
13.96%29.14B
15.70%28.52B
12.54%27.35B
14.89%27.36B
-2.06%25.57B
-6.69%24.65B
-6.32%24.30B
-0.56%23.81B
9.83%26.10B
3.54%26.42B
4.23%25.94B
-3.98%23.94B
-3.62%23.77B
4.27%25.52B
1.09%24.89B
29.95%24.93B
25.70%24.66B
27.82%24.47B
23.17%24.62B
-8.65%19.19B
-4.00%19.62B
-8.29%19.15B
-5.63%19.99B
-11.63%21.01B
-11.49%20.44B
-14.96%20.88B
-14.98%21.18B
-2.25%23.77B
-1.60%23.09B
0.43%24.55B
4.78%24.92B
0.79%24.32B
-0.54%23.46B
1.36%24.44B
-1.52%23.78B
1.96%24.13B
--23.59B
--24.12B
--24.15B
--23.66B
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