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Compass Inc

COMP
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8.485USD
-0.275-3.14%
Trading geöffnet ETKurse um 15 Minuten verzögert
4.78BMarktkapitalisierung
469.82KGV TTM
Hier können Sie die jährlichen oder vierteljährlichen Kontostände von Compass Inc einsehen, um die finanzielle Gesundheit zu bewerten, Fundamentaldaten zu analysieren und wichtige Verhältnisse wie Liquidität, Hebel und Eigenkapitalrendite zu berechnen.
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
281.10%484.00M
-11.08%199.00M
-19.37%170.30M
-4.57%177.30M
-23.45%127.00M
34.09%223.80M
-4.00%211.20M
-44.60%185.80M
-54.37%165.90M
-53.88%166.90M
-38.01%220.00M
-22.09%335.40M
-23.60%363.60M
-41.47%361.90M
-55.16%354.90M
-46.90%430.50M
44.39%475.90M
--618.30M
--791.40M
--810.70M
--329.60M
- Barmittel und Barmitteläquivalente
281.10%484.00M
-11.08%199.00M
-19.37%170.30M
-4.57%177.30M
-23.45%127.00M
34.09%223.80M
-4.00%211.20M
-44.60%185.80M
-54.37%165.90M
-53.88%166.90M
-38.01%220.00M
-22.09%335.40M
-23.60%363.60M
-41.47%361.90M
-55.16%354.90M
-46.90%430.50M
44.39%475.90M
--618.30M
--791.40M
--810.70M
--329.60M
Forderungen
232.68%340.00M
12.33%82.00M
31.51%106.00M
50.22%135.20M
30.03%102.20M
20.46%73.00M
7.04%80.60M
-5.06%90.00M
-19.47%78.60M
-23.77%60.60M
-20.23%75.30M
-20.74%94.80M
-13.93%97.60M
-2.33%79.50M
-10.01%94.40M
4.27%119.60M
6.38%113.40M
--81.40M
--104.90M
--114.70M
--106.60M
-Forderungen aus Lieferungen und Leistungen
76.13%180.00M
12.33%82.00M
31.51%106.00M
50.22%135.20M
30.03%102.20M
20.46%73.00M
7.04%80.60M
-5.06%90.00M
-19.47%78.60M
-23.77%60.60M
-20.23%75.30M
-20.74%94.80M
-13.93%97.60M
-2.33%79.50M
-10.01%94.40M
4.27%119.60M
6.38%113.40M
--81.40M
--104.90M
--114.70M
--106.60M
-Sonstige Forderungen
--160.00M
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Sonstige kurzfristige Vermögenswerte
490.12%239.00M
9.04%36.20M
-4.39%37.00M
-19.69%35.90M
-16.15%40.50M
-39.08%33.20M
-38.08%38.70M
-29.83%44.70M
-33.47%48.30M
-28.76%54.50M
-32.43%62.50M
-41.93%63.70M
-30.59%72.60M
-19.39%76.50M
9.60%92.50M
49.86%109.70M
58.48%104.60M
--94.90M
--84.40M
--73.20M
--66.00M
Summe der kurzfristigen Vermögenswerte
294.14%1.06B
-3.88%317.20M
-5.20%313.30M
8.71%348.40M
-7.89%269.70M
17.02%330.00M
-7.63%330.50M
-35.11%320.50M
-45.15%292.80M
-45.55%282.00M
-33.96%357.80M
-25.14%493.90M
-23.07%533.80M
-34.82%517.90M
-44.75%541.80M
-33.93%659.80M
38.17%693.90M
--794.60M
--980.70M
--998.60M
--502.20M
Langfristige Vermögenswerte
Nettoanlagevermögen
74.95%926.00M
-3.94%494.90M
-5.34%496.80M
-5.37%512.70M
-1.98%529.30M
-8.03%515.20M
-10.00%524.80M
-11.21%541.80M
-16.54%540.00M
-17.09%560.20M
-15.10%583.10M
-10.55%610.20M
-3.58%647.00M
5.23%675.70M
12.55%686.80M
16.68%682.20M
15.53%671.00M
--642.10M
--610.20M
--584.70M
--580.80M
Goodwill und andere immaterielle Vermögenswerte
696.56%5.65B
118.56%672.50M
118.18%691.20M
113.09%695.30M
149.67%708.80M
7.06%307.70M
7.43%316.80M
12.44%326.30M
-4.86%283.90M
-3.46%287.40M
-3.69%294.90M
-7.64%290.20M
-3.40%298.40M
-5.64%297.70M
-1.26%306.20M
10.32%314.20M
32.18%308.90M
--315.50M
--310.10M
--284.80M
--233.70M
Sonstige langfristige Vermögenswerte
1285.06%482.00M
118.73%54.90M
88.45%52.20M
49.25%39.70M
23.40%34.80M
-18.24%25.10M
-0.36%27.70M
-12.21%26.60M
-18.73%28.20M
-26.56%30.70M
-48.80%27.80M
-48.82%30.30M
-34.16%34.70M
-13.64%41.80M
17.53%54.30M
36.09%59.20M
4.36%52.70M
--48.40M
--46.20M
--43.50M
--50.50M
Summe der langfristigen Vermögenswerte
----
44.14%1.22B
42.67%1.24B
39.45%1.25B
49.38%1.27B
-3.45%848.00M
-4.03%869.30M
-3.87%894.70M
-13.06%852.10M
-13.49%878.30M
-13.51%905.80M
-11.83%930.70M
-5.08%980.10M
0.91%1.02B
8.36%1.05B
15.62%1.06B
19.38%1.03B
--1.01B
--966.50M
--913.00M
--865.00M
Summe der Vermögenswerte
426.19%8.12B
30.69%1.54B
29.48%1.55B
31.34%1.60B
34.74%1.54B
1.53%1.18B
-5.05%1.20B
-14.70%1.22B
-24.37%1.14B
-24.32%1.16B
-20.48%1.26B
-16.95%1.42B
-12.31%1.51B
-14.86%1.53B
-18.39%1.59B
-10.26%1.72B
26.28%1.73B
--1.80B
--1.95B
--1.91B
--1.37B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
65.02%167.00M
14.49%94.80M
33.49%114.00M
44.88%154.30M
36.76%101.20M
38.93%82.80M
10.77%85.40M
9.79%106.50M
30.05%74.00M
24.17%59.60M
16.64%77.10M
1.15%97.00M
-28.07%56.90M
-24.88%48.00M
-9.45%66.10M
4.58%95.90M
43.04%79.10M
--63.90M
--73.00M
--91.70M
--55.30M
Rückstellungen
239.99%664.00M
-1.64%138.00M
0.53%133.10M
-8.51%122.60M
31.87%195.30M
54.52%140.30M
25.14%132.40M
23.39%134.00M
7.32%148.10M
-44.94%90.80M
-48.37%105.80M
-43.23%108.60M
-19.44%138.00M
-31.55%164.90M
-5.01%204.90M
36.45%191.30M
33.62%171.30M
--240.90M
--215.70M
--140.20M
--128.20M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
106.90%156.00M
-3.81%22.70M
4.73%28.80M
198.90%81.60M
220.85%75.40M
-4.84%23.60M
-1.43%27.50M
-84.87%27.30M
-90.76%23.50M
-86.37%24.80M
-23.56%27.90M
493.42%180.40M
1289.62%254.30M
1022.84%181.90M
95.19%36.50M
173.87%30.40M
79.41%18.30M
--16.20M
--18.70M
--11.10M
--10.20M
-Kurzfristige Verbindlichkeiten
106.90%156.00M
-3.81%22.70M
4.73%28.80M
198.90%81.60M
220.85%75.40M
-4.84%23.60M
-1.43%27.50M
-84.87%27.30M
-90.76%23.50M
-86.37%24.80M
-23.56%27.90M
493.42%180.40M
1289.62%254.30M
1022.84%181.90M
95.19%36.50M
173.87%30.40M
79.41%18.30M
--16.20M
--18.70M
--11.10M
--10.20M
Andere kurzfristige Verbindlichkeiten
65.02%167.00M
14.49%94.80M
33.49%114.00M
44.88%154.30M
36.76%101.20M
38.93%82.80M
10.77%85.40M
9.79%106.50M
30.05%74.00M
24.17%59.60M
16.64%77.10M
1.15%97.00M
-28.07%56.90M
-24.88%48.00M
-9.45%66.10M
4.58%95.90M
43.04%79.10M
--63.90M
--73.00M
--91.70M
--55.30M
Summe der kurzfristigen Verbindlichkeiten
159.35%1.26B
3.99%367.30M
9.13%391.00M
22.78%473.70M
34.35%486.60M
20.75%353.20M
6.13%358.30M
-24.46%385.80M
-36.44%362.20M
-43.48%292.50M
-23.95%337.60M
13.79%510.70M
41.34%569.90M
18.39%517.50M
4.97%443.90M
27.72%448.80M
31.38%403.20M
--437.10M
--422.90M
--351.40M
--306.90M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
56.06%596.00M
-6.91%354.20M
-7.82%352.40M
-8.03%365.50M
-3.12%381.90M
-7.24%380.50M
-10.28%382.30M
-11.31%397.40M
-15.61%394.20M
-15.68%410.20M
-13.80%426.10M
-9.57%448.10M
-6.13%467.10M
0.72%486.50M
7.97%494.30M
12.36%495.50M
12.63%497.60M
--483.00M
--457.80M
--441.00M
--441.80M
-Langfristige Leasingverbindlichkeiten
56.06%596.00M
-6.91%354.20M
-7.82%352.40M
-8.03%365.50M
-3.12%381.90M
-7.24%380.50M
-10.28%382.30M
-11.31%397.40M
-15.61%394.20M
-15.68%410.20M
-13.80%426.10M
-9.57%448.10M
-6.13%467.10M
0.72%486.50M
7.97%494.30M
12.36%495.50M
12.63%497.60M
--483.00M
--457.80M
--441.00M
--441.80M
Andere langfristige Verbindlichkeiten
270.17%134.00M
-3.76%30.70M
12.81%31.70M
3.96%31.50M
-34.18%36.20M
24.61%31.90M
24.91%28.10M
114.96%30.30M
261.95%55.00M
204.92%25.60M
141.88%22.50M
-7.87%14.10M
-24.77%15.20M
-74.48%8.40M
-74.59%9.30M
-64.99%15.30M
-24.34%20.20M
--32.90M
--36.60M
--43.70M
--26.70M
Gesamt langfristige Verbindlichkeiten
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-6.67%384.90M
-6.41%384.10M
-7.18%397.00M
-6.92%418.10M
-5.37%412.40M
-8.51%410.40M
-7.46%427.70M
-6.86%449.20M
-11.94%435.80M
-10.92%448.60M
-9.52%462.20M
-6.86%482.30M
-4.07%494.90M
1.86%503.60M
5.39%510.80M
10.52%517.80M
--515.90M
--494.40M
--484.70M
--468.50M
Gesamtverbindlichkeiten
484.61%5.29B
-1.75%752.20M
0.83%775.10M
7.03%870.70M
11.50%904.70M
5.12%765.60M
-2.23%768.70M
-16.38%813.50M
-22.89%811.40M
-28.06%728.30M
-17.02%786.20M
1.39%972.90M
14.24%1.05B
6.23%1.01B
3.29%947.50M
14.77%959.60M
18.78%921.00M
--953.00M
--917.30M
--836.10M
--775.40M
Eigenkapital der Aktionäre
Stammkapital
64.69%5.53B
13.99%3.51B
13.13%3.46B
12.38%3.40B
12.64%3.36B
4.59%3.08B
5.21%3.06B
6.55%3.03B
6.27%2.98B
8.58%2.95B
8.66%2.91B
7.81%2.84B
8.51%2.81B
11.27%2.71B
9.44%2.68B
10.04%2.64B
431.89%2.59B
--2.44B
--2.45B
--2.40B
--486.00M
Gewinnrücklagen
0.51%-2.71B
-2.19%-2.73B
-2.14%-2.69B
-2.03%-2.68B
-2.72%-2.72B
-6.13%-2.67B
-8.12%-2.63B
-9.83%-2.63B
-12.94%-2.65B
-14.63%-2.52B
-19.41%-2.43B
-27.09%-2.39B
-31.63%-2.35B
-37.71%-2.20B
-43.53%-2.04B
-42.70%-1.88B
-35.76%-1.78B
---1.59B
---1.42B
---1.32B
---1.31B
Kapitalrücklagen
64.69%5.53B
13.99%3.51B
13.13%3.46B
12.38%3.40B
12.64%3.36B
4.59%3.08B
5.21%3.06B
6.55%3.03B
6.27%2.98B
8.58%2.95B
8.66%2.91B
7.81%2.84B
8.51%2.81B
11.27%2.71B
9.44%2.68B
10.04%2.64B
431.89%2.58B
--2.44B
--2.45B
--2.40B
--486.00M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
---1.00M
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Nicht beherrschende Anteile
175.86%8.00M
76.67%5.30M
64.52%5.10M
66.67%5.50M
-9.38%2.90M
-9.09%3.00M
-8.82%3.10M
-19.51%3.30M
-11.11%3.20M
-8.33%3.30M
-8.11%3.40M
13.89%4.10M
2.86%3.60M
-5.26%3.60M
-21.28%3.70M
--3.60M
--3.50M
--3.80M
--4.70M
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Gesamtes Eigenkapital
----
90.91%787.30M
80.56%778.40M
80.58%725.40M
91.27%637.90M
-4.54%412.40M
-9.70%431.10M
-11.07%401.70M
-27.77%333.50M
-17.04%432.00M
-25.59%477.40M
-40.23%451.70M
-42.68%461.70M
-38.57%520.70M
-37.70%641.60M
-29.73%755.80M
36.11%805.50M
--847.60M
--1.03B
--1.08B
--591.80M
Währungseinheit
USD
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Prüfungsmeinungen
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Häufig gestellte Fragen

Was ist die Bilanz?

Es handelt sich um einen Finanzbericht, der die Vermögenswerte, Verbindlichkeiten und das Eigenkapital eines Unternehmens zu einem bestimmten Zeitpunkt zusammenfasst.
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